Industrial Parks Development Corporation

Fiscal Year 2012 EC (2020/2021 GC)

Unmodified

Revenue

ETB 616.2M

Net Loss

ETB -363.2M

Total Assets

ETB 27.5B

Total Equity

ETB 25.1B

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 2012 EC

Item Amount (ETB)
Revenue
Revenue 616,221,609
Operating expenses -650,017,339
Gross operating profit (loss) -33,795,730
Other Income & Expenses
Other income 26,839,853
Subtotal after other income -6,955,877
Administrative expenses -356,286,084
Net Result
Net profit (loss) before income tax -363,241,961
Total comprehensive loss for the year -363,241,961

Statement of Financial Position

As at end of FY 2012 EC

Item Amount (ETB)
Non-Current Assets
Property, plant and equipment 6,261,184,181
Investment property 16,635,617,957
Investment 42,166,968
Time deposit 30,983,307
Total Non-Current Assets 22,969,952,413
Current Assets
Receivables 2,304,927,689
Cash and bank balances 2,253,575,267
Total Current Assets 4,558,502,956
Total Assets
Total Assets 27,528,455,369
Equity
Paid up capital 25,900,265,678
Accumulated loss -789,948,997
Total Equity 25,110,316,681
Non-Current Liabilities
Deferred revenue 33,672,290
Severance payable 5,752,005
Total Non-Current Liabilities 39,424,295
Current Liabilities
Payables 2,378,714,393
Total Current Liabilities 2,378,714,393
Total Liabilities and Equity
Total Liabilities 2,418,138,688
Total Equity and Liabilities 27,528,455,369

Cash Flow Statement

FY 2012 EC

Item Amount (ETB)
Operating Activities
Net loss for the year -363,241,961
Depreciation 540,225,571
Foreign exchange loss 189,251,390
Property, plant and equipment adjustment 1,982,838
Interest income -1,442,853
Grant income -12,537,856
Severance and bad debt expense 60,719,118
Decrease in receivables -28,554,368
Increase in payables -1,078,223,513
Net cash used in operating activities -691,821,634
Investing Activities
Payment for property, plant and equipment -879,038,893
Net cash used in investing activities -879,038,893
Net Change in Cash -1,570,860,527
Closing Cash & Equivalents 2,253,575,267

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