EEU - Ethiopia Electrification Program (ELEAP)

Fiscal Year 2014 EC (2022/2023 GC)

Unmodified

Revenue

ETB 7.9B

Net Profit

ETB 3.0B

Total Assets

ETB 8.6B

Total Equity

ETB 8.6B

Asset Composition

Breakdown of total assets

Statement of Sources and Uses of Funds

FY 2014 EC

Item Amount (ETB)
Sources of Funds
Credit from IDA - Initial deposit to Designated Account
Credit from IDA - Additional deposit to Designated Account 3,905,288,232
Customer's Connection 2,516,134,991
EEU's contribution 390,242,380
Gain on foreign exchange 1,078,007,871
Total Sources of Funds 7,883,673,474
Uses of Funds
Supplies 4,166,517,095
Contractual services 656,243,058
Capacity building 9,562,613
Operating cost 68,995,872
Total Uses of Funds 4,901,318,638
Excess of Sources over Uses 2,982,354,836

Balance Sheet

As at end of FY 2014 EC

Item Amount (ETB)
Current Assets
Advance to suppliers 44,154,273
Cash at bank 8,533,899,554
Total Current Assets 8,578,053,827
Represented By
Fund Balance 8,578,053,827

Cash Flow Statement

Not available for this year.

Extracted from audited financial statements via OCR. Figures in Ethiopian Birr (modified cash basis).