Namunukula Plantations PLCInterim Financial Statements

STATEMENT OF FINANCIAL POSITION

30.09.2022

30.09.2021

31.03.2022

As at,

Rs. '000

Rs. '000

Rs. '000

ASSETS

Non Current Assets

Right of Use Assets

403,556

419,971

416,338

Freehold Property, Plant & Equipment

297,551

292,615

278,469

Bearer Biological Assets

3,142,315

3,012,645

3,077,094

Consumable Biological Assets

252,544

220,455

251,179

Investment in Joint Venture

379,568

294,604

336,484

Financial Assets

200,000

200,000

200,000

Intangible Assets

305,915

305,915

305,915

Total Non Current Assets

4,981,449

4,746,205

4,865,479

Current Assets

Produce on Bearer Biological Assets

38,499

21,558

38,499

Inventories

431,831

184,994

217,518

Trade and Other Receivables

245,984

160,406

152,178

Amounts Due from Related Companies

272,283

223,320

247,516

ESC Recoverable

5,114

16,319

5,114

Income Tax Receivable

13,361

11,028

11,028

Cash and Cash Equivalents

3,389,183

1,237,922

2,032,016

Total Current Assets

4,396,255

1,855,545

2,703,869

TOTAL ASSETS

9,377,703

6,601,750

7,569,348

EQUITY AND LIABILITIES

Capital and Reserves

Stated Capital

350,000

350,000

350,000

Timber Reserve

131,192

106,712

131,192

Retained Earnings

6,636,436

4,218,555

4,956,274

Total Equity

7,117,628

4,675,267

5,437,466

Non Current Liabilities

Interest Bearing Loans & Borrowings

-

-

-

Retirement Benefit Obligations

433,014

497,891

474,022

Deferred Tax Liabilty

318,681

274,871

318,681

Deferred Income

123,509

128,411

127,404

Lease liability

419,600

413,169

422,444

Total Non Current Liabilities

1,294,804

1,314,343

1,342,551

Current Liabilities

Dividend Payable

-

-

237,500

Trade and Other Payables

699,860

475,839

462,085

Lease liability

5,309

2,968

5,309

Interest Bearing Loans & Borrowings

111,075

33,474

25,137

Amounts Due to Related Companies

58,251

56,154

24,634

Income Tax Liabilities

90,776

43,705

34,667

Total Current Liabilities

965,271

612,140

789,331

TOTAL LIABILITIES

2,260,075

1,926,483

2,131,882

TOTAL EQUITY AND LIABILITIES

9,377,703

6,601,750

7,569,348

NET ASSETS PER SHARE (RS.)

299.69

196.85

228.95

* The above figures are subject to audit.

These Financial Statements are in compliance with the requirements of the Companies Act No. 07 of 2007.

Ajith Ranasinghe

Acting Financial Controller

The board of directors are responsible for the preparation and presentation of these Financial Statements. Approved & Signed for and on behalf of the board of Directors of Namunukula Plantations PLC by,

N C Peiris

J L A Fernando

Director

Director

Colombo,

14 November 2022

Page 2

Q-2 Financial Statements

Namunukula Plantations PLC

Interim Financial Statements

STATEMENT OF COMPREHENSIVE INCOME

Quarter Ended

Quarter Ended

Increase /

Period Ended

Period Ended

Increase /

Year Ended

30.09.2022

30.09.2021

(Decrease)

30.09.2022

30.09.2021

(Decrease)

31.03.2022

Rs. '000

Rs. '000

%

Rs. '000

Rs. '000

%

Rs. '000

Revenue

1,739,849

1,098,915

58%

2,937,642

1,992,312

47%

3,888,486

Cost of Sales

(769,748)

(542,550)

42%

(1,390,064)

(1,071,085)

30%

(1,990,412)

Gross Profit

970,101

556,365

74%

1,547,578

921,227

68%

1,898,074

Other Income

239,397

61,377

290%

380,181

126,498

201%

284,899

Change in fair value of Biological Assets

-

-

--

-

-

--

41,421

Administrative Expenses

(22,080)

(15,276)

45%

(40,354)

(27,390)

47%

(63,346)

Management Fee

(154,853)

(93,409)

66%

(250,591)

(159,186)

57%

(322,517)

Finance Cost

(17,725)

(14,617)

21%

(32,358)

(28,159)

15%

(57,776)

Impairment of Goodwill

-

-

--

-

-

--

-

Share of Profit from the Joint Venture

95,512

76,023

26%

143,744

132,380

9%

224,590

Profit Before Taxation

1,110,353

570,463

95%

1,748,201

965,370

81%

2,005,345

Tax (Expense) / Reversal

(51,710)

(18,400)

181%

(68,039)

(32,500)

109%

(68,013)

Net Profit for the Year

1,058,643

552,063

92%

1,680,162

932,870

80%

1,937,332

Other comprehensive income

Actuarial gain/(loss) on defined benefit plans

-

-

--

-

-

--

8,033

Tax effect

-

-

--

-

-

--

(1,125)

Other comprehensive income for the period

-

-

--

-

-

--

6,908

Total comprehensive income for the period

1,058,643

552,063

92%

1,680,162

932,870

80%

1,944,240

Basic Earnings per Share (Rs.)

44.57

23.24

70.74

39.28

81.57

* The above figures are subject to audit.

Page 3

Q-2 Financial Statements

Namunukula Plantations PLC

Interim Financial Statements

STATEMENT OF CHANGES IN EQUITY

Stated

Retained

Timber

Total

Capital

Earnings

Reserves

Rs. '000

Rs. '000

Rs. '000

Rs. '000

Balance as at 1 April 2021

350,000

3,285,685

106,712

3,742,397

Net Profit for the period

-

932,870

-

932,870

Other Comprehensive Income/(Loss)

-

-

-

-

Balance as at 30 September 2021

350,000

4,218,555

106,712

4,675,267

Balance as at 1 April 2022

350,000

4,956,274

131,192

5,437,466

Net Profit for the period

-

1,680,162

-

1,680,162

Other Comprehensive Income/(Loss)

-

-

-

-

Balance as at 30 September 2022

350,000

6,636,436

131,192

7,117,628

The Timber Reserve relates to change in fair value of managed trees which includes commercial timber plantations cultivated on estates.

* The above figures are subject to audit.

Page 4

Q-2 Financial Statements

Namunukula Plantations PLC

Interim Financial Statements

STATEMENT OF CASH FLOWS

Period ended,

30.09.2022

30.09.2021

Rs. '000

Rs. '000

CASH FLOWS FROM OPERATING ACTIVITIES

Net Profit before Taxation

1,748,201

965,370

ADJUSTMENTS FOR

Depreciation

110,548

104,132

Finance Cost

32,358

28,159

Provision for Defined Benefit Plan Cost

21,526

23,271

Profit on Disposal of Property, Plant & Equipment

-

(102)

Amortization of Grants

(3,603)

(4,053)

Share of Profit of Joint Venture

(143,744)

(132,380)

Operating profit before working capital changes

1,765,286

984,396

(Increase)/Decrease in Inventories

(214,313)

(8,551)

(Increase)/Decrease in Trade and other Receivables

(93,806)

(70,953)

(Increase)/Decrease in Amounts due from Related Companies

(24,767)

(68,540)

Increase/(Decrease) in Trade and Other Payables

253,560

32,269

Increase/(Decrease) in Amounts due to Related Companies

33,617

46,052

Cash Generated from Operating Activities

1,719,576

914,674

Finance Cost Paid

(19,198)

(901)

Defined Benefit Plan Cost Paid

(62,535)

(38,123)

Tax (Paid) / Refund

(14,262)

-

Net Cash Flow From Operating Activities

1,623,582

875,649

CASH FLOWS FROM INVESTING ACTIVITIES

Acquisition of Property, Plant & Equipment

(34,518)

(1,538)

Term Loan given to RPC Finance Ltd

-

-

Dividend Received

100,660

50,330

Investments in Immature plantation

(147,551)

(121,417)

Expenditure on Timber Cultivation

(1,364)

(1,915)

Proceeds from Disposal of Property, Plant & Equipment

-

9,500

Grants Received

(291)

3,337

Net Cash Flow From Investing Activities

(83,065)

(61,703)

CASH FLOWS FROM FINANCING ACTIVITIES

Payment of Government Lease rentals

(31,789)

(29,461)

Proceeds from loans & borrowings

-

-

Repayment of loans & borrowings

(6,667)

(8,333)

Settlement of finance lease

-

-

Dividend Paid

(237,500)

(201,875)

Net Cash Flow From Financing Activities

(275,955)

(239,670)

Net Increase/(Decrease) in Cash and Cash Equivalents

1,264,562

574,277

A. Cash & Cash Equivalents at the Beginning of the Year

2,013,546

646,838

B. Cash & Cash Equivalents at the End of the Year

3,278,108

1,221,115

NOTE A : Cash & Cash Equivalents at the Beginning of the Period

Cash & Bank Balances

2,032,016

661,744

Bank Overdrafts

(18,471)

(14,906)

2,013,546

646,838

NOTE B : Cash & Cash Equivalents at the End of the Period

Cash & Bank Balances

3,389,183

1,237,922

Bank Overdrafts

(111,075)

(16,807)

3,278,108

1,221,115

* The above figures are subject to audit.

Page 5

Q-2 Financial Statements

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Namunukula Plantations plc published this content on 14 November 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 14 November 2022 10:51:02 UTC.