Ethiopian Electric Power

Fiscal Year 2011 EC (2019/2020 GC)

Unmodified

Revenue

ETB 6.2B

Net Loss

ETB -27.3B

Total Assets

ETB 555.0B

Total Equity

ETB 207.5B

Profit Breakdown

Key income statement items

Cash Flow Activities

Net cash from each activity

Asset Composition

Breakdown of total assets

Statement of Profit or Loss and Other Comprehensive Income

FY 2011 EC

Item Amount (ETB)
Revenue
Revenue from contracts with customers 6,244,919,000
Expenses
Direct costs -1,332,161,000
Operating expenses -268,541,000
Net impairment gain (loss) on financial assets 270,711,000
Other income (expense) 118,774,000
EBITDA & Operating
EBITDA 5,033,702,000
Depreciation of property, plant and equipment -7,414,591,000
Depreciation charge of right of use asset -26,276,000
Operating loss -2,407,165,000
Finance & Net Result
Finance costs -24,863,512,000
Net Loss for the year -27,270,677,000
Remeasurement gain/(loss) on post employment benefits obligations -3,984,000
Total comprehensive loss for the period -27,274,661,000

Statement of Financial Position

As at end of FY 2011 EC

Item Amount (ETB)
Non-current Assets
Property, plant and equipment 519,518,575,000
Intangible assets 357,564,000
Right of use assets 23,955,000
Long term receivables 115,428,000
Current Assets
Inventories 301,930,000
Trade and other receivables 28,788,848,000
Cash and cash equivalents 5,898,950,000
Total Assets
Total assets 555,005,250,000
Non-current Liabilities
Borrowings 226,677,929,000
Lease liabilities 8,127,000
Employee benefit obligations 13,890,000
Provisions 50,000
Grants 222,130,000
Current Liabilities
Borrowings 101,260,311,000
Employee benefit obligations 2,873,000
Trade and other payables 18,797,108,000
Contract liabilities 74,282,000
Provisions 410,007,000
Lease liabilities 16,587,000
Total Liabilities
Total liabilities 347,485,341,000
Equity
Capital 114,353,857,000
Legal reserve 2,283,000
Other reserves -6,056,000
Retained earnings -69,598,014,000
Non-distributable reserve 162,767,839,000
Total equity 207,519,909,000

Cash Flow Statement

FY 2011 EC

Item Amount (ETB)
Operating Activities
Cash generated/(used) in operations -863,526,000
Interest paid on borrowings -18,743,606,000
Interest paid on leases -3,419,000
Net cash (outflow)/inflow from operating activities -49,610,551,000
Investing Activities
Purchase of property, plant and equipment -22,360,914,000
Purchase of intangible assets -210,300,000
Payment for right of use assets -661,000
Net cash (outflow)/inflow from investing activities -22,571,874,000
Financing Activities
Proceeds from borrowings 55,373,227,000
Repayments of borrowings -12,120,264,000
Principal elements of lease payments -27,893,000
Net cash (outflow)/inflow from financing activities 43,225,070,000
Net Change in Cash 1,042,644,000
Closing Cash & Equivalents 5,898,950,000

Extracted from audited financial statements via OCR. Figures in Ethiopian Birr (originally reported in Birr'000).