CONSOLIDATED FINANCIAL STATEMENTS

JUNE 2022

ENJOY S.A.

CONSOLIDATED STATEMENTS OF FINANCIAL POSITION

AT JUNE 30, 2022 AND DECEMBER 31, 2021

EXPRESSED IN THOUSANDS OF CHILEAN PESOS (THCH$)

Assets

06-30-2022

12-31-2021

ThCh$

ThCh$

Current assets

Cash and cash equivalents

36.248.996

55.484.073

Other financial assets, current

4.171.324

2.569.745

Trade debtors and other accounts receivable, current

28.437.244

22.503.285

Accounts receivable from related parties, current

13.013

86.652

Inventories

4.019.244

3.526.778

Current tax assets

1.911.726

2.622.212

Total -current assets

74.801.547

86.792.745

Non-current assets

Other assets, non-current

189.179

182.972

Trade debtors and other accounts receivable, no current

1.523.122

1.558.732

Intangible assets other than goodwill

328.073.025

218.405.511

Goodwill

1.303.379

1.303.379

Property, plant and equipment, net

377.970.657

353.400.419

Assets for rights of use

36.295.906

40.161.966

Non current tax assets

1.821.106

1.806.609

Deferred tax assets

66.368.318

53.308.376

Total non-current assets

813.544.692

670.127.964

Total assets

888.346.239

756.920.709

CONSOLIDATED STATEMENTS OF FINANCIAL POSITION

AT JUNE 30, 2022 AND DECEMBER 31, 2021

EXPRESSED IN THOUSANDS OF CHILEAN PESOS (THCH$)

Equity and liabilities

06-30-2022

12-31-2021

ThCh$

ThCh$

Current Liabilities

Other current financial liabilities

13.359.773

7.343.777

Liabilities for leases, current

9.477.810

10.044.978

Trade payables and other payables

116.007.688

86.126.180

Accounts payable to related parties, current

138.084

219.585

Current tax liability

4.766.271

4.325.184

Current provisions for employee benefits

1.475.174

2.495.287

Other current liabilities

13.372.826

11.986.964

Total non-current liabilities

158.597.626

122.541.955

Non-current liabilities

Other financial liabilities, non-current

236.520.338

212.590.773

Liabilities for leases, no current

14.474.182

19.671.965

Trade payables and other payables

242.944.809

149.824.307

Deferred tax liabilities

53.604.047

50.603.391

Non Current provisions for employee benefits

-

-

Other current liabilities, non-current

80.570

270.622

Total non-current liabilities

547.623.946

432.961.058

Total liabilities

706.221.572

555.503.013

Equity

Issued capital

466.769.811

422.280.799

Retained earnings

16.540.527

59.108.294

Share premium

9.531.235

4.003.369

Accumulated other comprehensive income

(306.969.659)

(280.904.647)

Equity attributable to owners of the parent

185.871.914

204.487.815

Non-controlling interests

(3.747.247)

(3.070.119)

Equity

182.124.667

201.417.696

Equity and liabilities

888.346.239

756.920.709

STATEMENTS OF INCOME AND STATEMENTS OF COMPREHENSIVE INCOME

FOR THE PERIOD ENDED JUNE 30, 2022 AND 2021

EXPRESSED IN THOUSANDS OF CHILEAN PESOS (THCH$) EXCEPT EARNINGS PER SHARE PRESENTED IN PESOS

Income Statements

06-30-2022

06-30-2021

ThCh$

ThCh$

Revenue

153.059.401

24.117.555

Cost of sales

(115.381.557)

(45.922.191)

Gross margin

37.677.844

(21.804.636)

Administrative expenses

(19.330.485)

(10.130.817)

Other expenses

-

-

Other gains (losses)

(5.190.332)

(717.541)

Operating Margin

13.157.027

(32.652.994)

Finance income

97.701

60.030

Finance costs

(31.121.318)

(16.113.660)

Share of profit (loss) of associates

-

240.310

Foreign exchange gain/loss

(5.805.451)

(621.085)

Indexation for designated assets/liabilities for inflation

(16.731.736)

(2.381.773)

Income before tax

(40.403.777)

(51.469.172)

Income tax (expense) benefit

13.685.633

2.183.638

Net Income derived from continuous operations

(26.718.144)

(49.285.534)

Discontinued operations

(23.996)

(35.531)

Net Income

(26.742.140)

(49.321.065)

Net Income, attributable to:

Net Income, attributable to owners of parent

(26.065.012)

(47.429.421)

Net Income, attributable to non-controlling interests

(677.128)

(1.891.644)

Net Income

(26.742.140)

(49.321.065)

Earnings per share (basic and diluted)

(0,50)

(3,57)

Statement of Comprehensive Income

06-30-2022

06-30-2021

ThCh$

ThCh$

Net Income

(26.742.140)

(49.321.065)

Items that may be reclassified subsequently to profit or loss:

Gain (loss) due to translation differences in subsidiaries

5.527.866

1.286.551

Total gain (loss) due to translation differences, before taxes

5.527.866

1.286.551

Other comprehensive income, , before taxes

5.527.866

1.286.551

Other comprehensive income for the year, net of income tax

5.527.866

1.286.551

Comprehensive income

(21.214.274)

(48.034.514)

Comprehensive income attributable to

Comprehensive income attributable to owners of the company

(20.537.146)

(46.142.870)

Comprehensive income attributable to non-controlling interests

(677.128)

(1.891.644)

Comprehensive income

(21.214.274)

(48.034.514)

CONSOLIDATED STATEMENTS OF CASH FLOWS

FOR THE PERIOD ENDED JUNE 30, 2022 AND 2021

STATED IN THOUSANDS OF CHILEAN PESOS (THCH$)

Cash flow statements

06-30-2022

06-30-2021

ThCh$

ThCh$

Cash flows from (used in) operating activities

Collection from operating activities

Receipts from the sale of goods and services

182.140.687

28.699.890

Payments

Payments to suppliers for goods and services

(84.444.676)

(29.970.069)

Payments to and account of employees

(40.207.342)

(16.788.792)

Other payments for operating activities

(71.742.787)

(9.117.706)

Paid (reimbursed) income tax

(184.099)

(609.466)

Cash flows from (used in) operating activities

(14.438.217)

(27.786.143)

Cash flows from (used in) investing activities

Cash flows from the sale of non-controlling interests

1.809.396

-

Purchase of property, plant and equipment

(6.220.247)

(3.108.496)

Purchase of Intangible assets

(64.725)

(747.074)

Interest received

97.701

60.030

Cash flows from (used in) investing activities

(4.377.875)

(3.795.540)

Cash flows from (used in) financing activities

Proceeds from issuance of shares

-

13.108.428

Proceeds from the issuance of other equity instruments

-

15.329.615

Proceeds from short - term loans received

9.325.484

221.723

Repayments of loans received

(1.339.173)

(2.635.487)

Payments of liabilities by lease

(3.854.175)

(3.168.620)

Interest paid

(5.774.496)

(242.363)

Other cash inflows (outflows)

(64.358)

(79.482)

Cash flows derived from (used in) financing activities

(1.706.718)

22.533.814

Increase (decrease) in cash and cash equivalents

(20.522.810)

(9.047.869)

Effects of exchange rate changes on the balance of cash held in foreign currencies

Effects of exchange rate changes on the balance of cash held in foreign currencies

1.287.733

211.273

Net increase (decrease) of cash and cash equivalents

(19.235.077)

(8.836.596)

Cash and cash equivalents at the beginning of the year

55.484.073

68.352.537

Cash and cash equivalents at the end of the year

36.248.996

59.515.941

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Enjoy SA published this content on 29 August 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 30 August 2022 00:11:20 UTC.