Commercial Bank of Ethiopia

Fiscal Year 2010 EC (2018/2019 GC)

Unmodified

Revenue

ETB 42.8B

Net Profit

ETB 5.4B

Total Assets

ETB 573.9B

Total Equity

ETB 47.2B

Profit Breakdown

Key income statement items

Cash Flow Activities

Net cash from each activity

Asset Composition

Breakdown of total assets

Consolidated Statement of Profit or Loss and Other Comprehensive Income

FY 2010 EC

Item Amount (ETB)
Interest Income and Expense
Interest Income 37,328,464,816
Interest Expense -14,750,251,230
Net interest income 22,578,213,586
Impairment
Impairment losses on loans and advances -1,547,644,864
Net interest income after provisions 21,030,568,722
Non-Interest Income and Expense
Gain on foreign currency transactions -3,847,440,979
Equity investments in associates 15,728,241
Non-interest income 5,466,708,598
Non-interest expense -12,659,476,721
Profit and Tax
Profit before tax 10,006,087,861
Income tax -4,639,743,141
Profit for the year 5,366,344,720
Other Comprehensive Income
Remeasurements of defined benefit liability 98,499,378
Related tax -29,549,813
Items that will never be reclassified to profit or loss 68,949,565
Unrealized (loss)/gain arising from measurement at fair value 67,149,663
Related tax -20,144,899
Foreign currency translation differences for foreign operations -299,923,222
Items that are or may be reclassified to profit or loss -252,918,458
Other comprehensive income, net of tax -183,968,893
Total comprehensive income 5,182,375,827

Consolidated Statement of Financial Position

As at end of FY 2010 EC

Item Amount (ETB)
Assets
Cash and cash equivalents 52,003,793,543
Debt & Equity Securities 319,069,307,014
Loans and advances to customers, net 172,687,492,850
Loans to micro-finance institutions, net 307,167,397
Receivables 8,380,417,594
Investments in associates 113,301,038
Non-current assets held for sale 1,102,353,512
Investment property 23,135,132
Property, plant and equipment, net 11,157,871,470
Intangible assets 39,662,818
Other assets 5,765,660,670
Right of use asset 2,504,472,883
Deferred tax assets 739,643,477
Total Assets 573,894,279,398
Liabilities
Deposits due to other banks 1,176,699,445
Customers' deposits 450,680,917,749
Current tax liabilities 2,761,831,547
Provisions 641,791,149
Finance lease obligations 304,340,641
Dividends 5,343,106,150
Employee benefits 1,943,328,149
Other liabilities 63,836,532,122
Total Liabilities 526,688,546,952
Equity
Capital 40,000,000,000
Legal reserve 6,807,195,127
Capital reserve 134,745,949
Statutory reserve 666,432,050
IFB reserve 608,463
Accumulated profit/loss 8,114,350
Fair value reserve 97,811,488
Remeasurement of defined benefit liability -215,735,859
Foreign currency translation reserve -293,439,122
Total Equity 47,205,732,446
Total Liabilities and Equity
Total liabilities and equity 573,894,279,398

Cash Flow Statement

FY 2010 EC

Item Amount (ETB)
Operating Activities
Profit before tax 10,006,087,861
Impairment 1,548,615,151
Depreciation and amortization 1,698,190,717
Income from associate recognized in profit or loss -15,728,242
Loss (Gain) on Disposal of Property, Plant and Equipment -564,998
Finance lease charge 9,281,080
Operating cash before working capital changes 13,245,881,569
Change in Debt and Equity Securities -58,294,031,032
Change in Loans and advances -21,977,124,452
Change in receivables -2,911,624,289
Change in Non Current Asset Held for Sale -1,682,495
Change in other assets 412,513,433
Change in Restricted fund -5,627,835,530
Change in customers' deposits 86,650,590,317
Change in provisions 109,950,527
Change in employee benefits 1,132,641,728
Change in other liabilities -5,178,736,173
Cash generated from operations 7,560,543,603
Income taxes paid -5,309,742,911
Net cash generated by operating activities 2,250,800,692
Investing Activities
Payments for property, plant and equipment -2,764,734,757
Proceeds from disposal of property, plant and equipment 4,379,864
Payment right of use assets -1,174,553,076
Net cash used in investing activities -3,934,907,969
Financing Activities
Dividend paid -5,575,654,069
Finance lease obligation paid -50,644,985
Net cash outflow from financing activities -5,626,299,054
Net Change in Cash -7,310,406,331
Closing Cash & Equivalents 19,392,098,513

Extracted from audited financial statements via OCR. Figures in Ethiopian Birr.