CEYLON TEA BROKERS PLC
PB 1280 PQ
INTERIM FINANCIAL STATEMENTS
FOR THE PERIOD ENDED 30TH SEPTEMBER 2022
CEYLON TEA BROKERS PLC | |||||||||||||||
Statement of Profit or Loss and Other Comprehensive Income for the Period Ended 30th September | |||||||||||||||
GROUP | COMPANY | ||||||||||||||
For the Quarter Ended | Variance | For the Six months ended | Variance | For the Quarter Ended | Variance | For the Six months ended | Variance | ||||||||
30.09.2022 | 30.09.2021 | % | 30.09.2022 | 30.09.2021 | % | 30.09.2022 | 30.09.2021 | % | 30.09.2022 | 30.09.2021 | % | ||||
Rs. | Rs. | Rs. | Rs. | Rs. | Rs. | Rs. | Rs. | ||||||||
Revenue | 216,276,882 | 103% | 407,709,669 | 104.19% | 141,814,391 | 112% | 287,422,433 | 92.61% | |||||||
438,668,578 | 832,516,794 | 300,466,968 | 553,616,780 | ||||||||||||
Operating Expenses | (150,550,541) | (79,769,004) | 89% | (292,541,830) | (136,540,065) | 114.25% | (35,263,755) | (17,765,368) | 98% | (61,389,750) | (30,890,065) | 98.74% | |||
Gross Profit | 111% | 99.13% | 114% | 91.88% | |||||||||||
288,118,037 | 136,507,878 | 539,974,964 | 271,169,604 | 265,203,213 | 124,049,023 | 492,227,030 | 256,532,369 | ||||||||
Marketing Expenses | (25,522,433) | (13,975,659) | 83% | (58,172,697) | (26,823,326) | 116.87% | (24,331,468) | (12,607,682) | 93% | (55,105,420) | (24,368,620) | 126.13% | |||
Administration Expenses | (102,946,941) | (75,613,781) | 36% | (200,336,322) | (148,688,037) | 34.74% | (83,759,206) | (60,794,139) | 38% | (160,836,905) | (120,775,290) | 33.17% | |||
Net Finance Expenses | (55,976,546) | (28,917,734) | 94% | (104,412,582) | (58,793,344) | 77.59% | (41,567,515) | (14,000,442) | 197% | (74,528,894) | (30,499,198) | 144.36% | |||
Profit Before Taxation | 476% | 380.28% | 215% | 149.42% | |||||||||||
103,672,117 | 18,000,704 | 177,053,363 | 36,864,898 | 115,545,024 | 36,646,760 | 201,755,811 | 80,889,261 | ||||||||
Taxation | (39,285,308) | (10,994,028) | 257% | (67,848,235) | (24,041,779) | 182.21% | (39,285,308) | (10,994,028) | 257% | (67,848,235) | (24,041,779) | 182.21% | |||
Profit After Taxation | 64,386,809 | 7,006,676 | 819% | 109,205,128 | 12,823,119 | 752% | 76,259,716 | 25,652,732 | 197% | 133,907,576 | 56,847,482 | 135.56% | |||
Other Comprehensive Income/(Loss) | - | - | - | - | - | - | - | - | |||||||
Profit for the Period | -819% | -752% | 197% | 135.56% | |||||||||||
64,386,809 | 7,006,676 | 109,205,128 | 12,823,119 | 76,259,716 | 25,652,732 | 133,907,576 | 56,847,482 | ||||||||
Basic Earnings Per Share | 0.35 | 0.04 | 0.60 | 0.07 | 0.42 | 0.14 | 0.73 | 0.31 | |||||||
figures in brackets indicate deductions.
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CEYLON TEA BROKERS PLC
Statement of Financial Position
GROUP | COMPANY | |||||||
Unaudited | Audited | Unaudited | Audited | |||||
As at | 30.09.2022 | 31.03.2022 | 30.09.2022 | 31.03.2022 | ||||
ASSETS | Rs. | Rs. | Rs. | Rs. | ||||
Non-Current Assets | ||||||||
Property, Plant & Equipment | 898,757,613 | 922,447,846 | 9,752,332 | 9,758,683 | ||||
Right of Use Asset | 197,375,889 | 219,964,231 | 14,435,744 | 24,059,578 | ||||
Intangible Assets | 67,625,037 | 72,667,410 | 3,333,891 | 4,220,085 | ||||
Defferred Tax Asset | - | - | 14,561,932 | 14,561,932 | ||||
Loans & Advances to Tea Suppliers | 4,207,374 | 34,592,759 | 4,207,374 | 34,592,759 | ||||
Refundable Deposit on Lease Permises | 14,770,238 | 4,472,279 | 4,711,838 | 4,472,279 | ||||
1,182,736,151 | 1,254,144,525 | 51,003,110 | 91,665,316 | |||||
Investment in Logicare (Pvt) Ltd | - | - | 633,000,000 | 633,000,000 | ||||
Current Assets | ||||||||
Trade and Other Receivables | 936,027,356 | 861,953,667 | 820,998,384 | 763,465,364 | ||||
Loans & Advances to Tea Suppliers | 1,129,342,797 | 724,903,358 | 1,129,342,797 | 724,903,358 | ||||
Investment in Unit trusts | 100,091,446 | - | 100,091,446 | - | ||||
Cash and Cash Equivalents | 145,079,070 | 67,854,077 | 134,139,242 | 63,781,601 | ||||
2,310,540,669 | 1,654,711,102 | 2,184,571,869 | 1,552,150,323 | |||||
Total Assets | ||||||||
3,493,276,820 | 2,908,855,627 | 2,868,574,979 | 2,276,815,639 | |||||
EQUITY AND LIABILITIES | ||||||||
Capital and Reserves | ||||||||
Stated Capital | 333,200,000 | 333,200,000 | 333,200,000 | 333,200,000 | ||||
Retained Earnings | 90,932,207 | 47,391,079 | 410,047,597 | 341,804,020 | ||||
Revaluation Reserve | 129,759,524 | 129,759,524 | - | - | ||||
Total Equity | 553,891,731 | 510,350,603 | 743,247,597 | 675,004,020 | ||||
Non-Current Liabilities | ||||||||
Defferred Tax Liability | 26,414,760 | 26,414,761 | ||||||
Interest Bearing Borrowings | 906,746,508 | 977,514,966 | 248,540,460 | 345,890,742 | ||||
Lease Payables | 2,123,795 | 15,487,821 | - | 5,804,378 | ||||
Retirement Benefit Obligation | 46,372,804 | 43,520,681 | 38,077,538 | 35,445,540 | ||||
Current Liabilities | 981,657,866 | 1,062,938,229 | 286,617,998 | 387,140,660 | ||||
Trade and Other Payables | 1,029,605,981 | 653,455,741 | 963,476,246 | 618,166,672 | ||||
Lease Payables | 34,958,639 | 42,242,071 | 16,926,567 | 21,752,648 | ||||
Interest Bearing Borrowings | 660,656,132 | 556,658,318 | 655,256,132 | 496,775,949 | ||||
Amount due to Related Party | - | - | 515,459 | - | ||||
Tax Payable | 58,068,565 | 13,470,268 | 58,068,565 | 13,470,268 | ||||
Bank Overdrafts | 174,437,906 | 69,740,397 | 144,466,416 | 64,505,422 | ||||
1,957,727,223 | 1,335,566,795 | 1,838,709,385 | 1,214,670,959 | |||||
Total Liabilities | 2,939,385,089 | 2,398,505,024 | 2,125,327,382 | 1,601,811,619 | ||||
Total Equity and Liabilities | ||||||||
3,493,276,820 | 2,908,855,627 | 2,868,574,979 | 2,276,815,639 | |||||
Net Asset Value Per Share | 3.04 | 2.80 | 4.07 | 3.70 |
I certify that the above financial statements have been prepared in compliance with the requirements of Companies Act No 7 of 2007.
…………......………
Financial Controller
The Board of Directors are responsible for the preparation and presentation of these Financial Statements. Signed for and on behalf of the board by:
………..…...……………… | ……...…..…………… |
Director | Director |
10th November 2022 | |
Colombo |
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CEYLON TEA BROKERS PLC
Statement of Changes in Equity
For the Period Ended 30th September
Stated | Revaluation | Retained | Total | ||||
Capital | Reserve | Earnings | |||||
GROUP | Rs. | Rs. | Rs. | Rs. | |||
Balance as at 01.04.2021 | 333,200,000 | - | 97,824,452 | 431,024,452 | |||
Profit for the period ended 30.09.2021 | - | - | 12,823,119 | 12,823,119 | |||
Other Comprehensive Income | - | - | - | - | |||
Dividend Paid | - | - | (63,840,000) | (63,840,000) | |||
Balance as at 30.09.2021 | 333,200,000 | - | 46,807,571 | 380,007,571 | |||
Balance as at 01.04.2022 | 333,200,000 | 129,759,524 | 47,391,079 | 510,350,603 | |||
Profit for the period ended 30.09.2022 | - | - | 109,205,128 | 109,205,128 | |||
Other Comprehensive Income | - | - | - | - | |||
Dividend Paid | - | - | (65,664,000) | (65,664,000) | |||
Balance as at 30.09.2022 | 333,200,000 | 129,759,524 | 90,932,207 | 553,891,731 |
Stated | Retained | Total | ||||
Capital | Earnings | |||||
COMPANY | Rs. | Rs. | Rs. | |||
Balance as at 01.04.2021 | 333,200,000 | 300,243,668 | 633,443,668 | |||
Profit for the period ended 30.09.2021 | - | 56,847,482 | 56,847,482 | |||
Other Comprehensive Income | - | - | - | |||
Dividend Paid | - | (63,840,000) | (63,840,000) | |||
Balance as at 30.09.2021 | 333,200,000 | 293,251,150 | 626,451,150 | |||
Balance as at 01.04.2022 | 333,200,000 | 341,804,020 | 675,004,020 | |||
Profit for the period ended 30.09.2022 | - | 133,907,576 | 133,907,576 | |||
Other Comprehensive Income | - | - | - | |||
Dividend Paid | - | (65,664,000) | (65,664,000) | |||
Balance as at 30.09.2022 | 333,200,000 | 410,047,597 | 743,247,597 | |||
figures in brackets indicate deductions.
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CEYLON TEA BROKERS PLC
Statement of Cash Flows
For the Period Ended 30th September 2022
GROUP | COMPANY | ||||||
30.09.2022 | 30.09.2021 | 30.09.2022 | 30.09.2021 | ||||
Cash Flow From Operating Activities | Rs. | Rs. | Rs. | Rs. | |||
Profit Before Taxation | 177,053,363 | 36,864,898 | 201,755,811 | 80,889,261 | |||
Adjustments for ; | |||||||
Depreciation | 32,526,597 | 23,230,757 | 3,142,135 | 3,259,997 | |||
Amortization | 21,680,553 | 18,212,822 | 9,623,835 | 8,250,995 | |||
Interest/Investment Income | (31,723,474) | (1,985,426) | (31,723,474) | (1,688,602) | |||
Interest Expense | 111,402,599 | 64,120,025 | 106,252,369 | 34,233,006 | |||
Provision for Retirement Benefit Obligation | 3,600,000 | 3,600,000 | 3,000,000 | 3,000,000 | |||
Provision for Bad and Doubtful Debt | 9,350,000 | 12,500,000 | 9,000,000 | 12,500,000 | |||
Disposal (Profit)/Loss on Property,Plant and Equipment | (42,120) | - | (42,120) | - | |||
Operating Profit Before Working Capital Changes | 323,847,516 | 156,543,076 | 301,008,554 | 140,444,657 | |||
Increase/Decrease in Working Capital | |||||||
(Increase)/ Decrease in Trade and Other Receivables | (74,073,892) | 123,281,831 | (57,533,020) | 140,237,415 | |||
Loans (Disburstments)/Recoveries From (To) Tea Suppliers | (383,404,054) | 72,827,022 | (383,054,054) | 72,827,023 | |||
Increase/(Decrease) in Trade and Other Payables | 376,150,240 | (95,042,186) | 345,309,574 | (81,302,429) | |||
(Increase)/Decrease in Related Party Receivable | - | - | 515,459 | (70,901,036) | |||
Cash Generated from Operating Activities | 242,519,811 | 257,609,743 | 206,246,514 | 201,305,630 | |||
Tax Paid | (23,249,937) | (30,586,132) | (23,249,937) | (30,586,132) | |||
Gratuity Paid | (747,875) | (120,375) | (368,000) | (120,375) | |||
Net Generated from Operating Activities | 218,521,999 | 226,903,236 | 182,628,576 | 170,599,123 | |||
Cash Flow From Investing Activities | |||||||
Interest Received | 31,392,469 | 1,643,028 | 31,392,469 | 1,472,783 | |||
Proceeds from sale of Assets | 42,120 | 389,721 | 42,120 | 99,341 | |||
Refundable Deposit | (10,058,400) | (10,000,000) | - | - | |||
Disposal of Commercial Papers | - | - | - | - | |||
Investment made during the year | (600,000,000) | - | (600,000,000) | - | |||
Investment redeemed during the year | 500,000,000 | - | 500,000,000 | - | |||
Purchase of Property, Plant & Equipment | (2,886,000) | (91,153,540) | (2,249,600) | (2,157,699) | |||
Net cash flow from ( Used in) Investing Activities | (81,509,811) | (99,120,791) | (70,815,011) | (585,575) | |||
Cash Flow From Financing Activities | |||||||
Interest Paid | (109,323,634) | (59,513,994) | (105,036,298) | (32,187,799) | |||
Payment of Lease Liabilities | (22,726,425) | (18,929,788) | (11,846,530) | (10,867,689) | |||
Dividend Paid | (65,664,000) | (63,840,000) | (65,664,000) | (63,840,000) | |||
Movement in Interest Bearing Borrowings | |||||||
Loan repayment made during the period | (861,770,645) | (1,866,478,323) | (833,870,091) | (1,745,791,183) | |||
Loan obtained during the period | 545,000,000 | 1,846,071,008 | 545,000,000 | 1,643,571,011 | |||
Commercial papers issued | 350,000,000 | - | 350,000,000 | - | |||
Net cash flow from Financing Activities | (164,484,704) | (162,691,097) | (121,416,919) | (209,115,660) | |||
Net Increase/ (Decrease) in Cash and Cash Equivalents | (27,472,516) | (34,908,653) | (9,603,353) | (39,102,112) | |||
Cash and Cash Equivalents at the Beginning of the Period | (1,886,320) | 20,968,907 | (723,821) | 57,776,716 | |||
Cash and Cash Equivalents at the End of the Period | |||||||
(29,358,836) | (13,939,746) | (10,327,174) | 18,674,604 | ||||
figures in brackets indicate deductions.
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