National Alcohol and Liquor Factory

Fiscal Year 2011 EC (2019/2020 GC)

Unmodified

Revenue

ETB 817.5M

Net Profit

ETB 213.2M

Total Assets

ETB 828.8M

Total Equity

ETB 317.0M

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 817,512,796
Cost of sales -339,303,611
Gross profit 478,209,185
Operating Expenses
Other operating income 9,985,933
General and administration expense -179,782,605
Employee termination benefit/severance expense -1,421,062
Operating profit 306,991,452
Profit
Finance costs/charges -2,136,471
Profit before tax 304,854,981
Income tax expense -91,668,563
Profit for the year 213,186,418

Statement of Financial Position

As at end of FY 2011 EC

Item Amount (ETB)
Non-Current Assets
Property, plant and equipment 595,306,108
Right use of asset - land 22,231,650
Land improvement 964,252
Deferred tax asset 2,356,426
Total non-current assets 620,858,436
Current Assets
Inventories 106,816,339
Trade and other receivables 2,610,899
Advance and prepayments 21,516,181
Cash and short-term deposits 67,679,215
Total current assets 198,622,634
Other Assets
Non-current assets held for sale 9,350,887
Total Assets
Total assets 828,831,957
Equity
Issued capital 220,985,435
Legal reserve 21,390,217
Retained earnings -16,314,834
First time IFRS adoption revaluation reserve 90,891,772
Total equity 316,952,590
Non-Current Liabilities
Long term loans 20,754,717
Lease liability 7,854,755
Termination benefit liabilities 23,376,721
Total non-current liabilities 51,986,193
Current Liabilities
Trade and other payables 26,843,516
Dividend payable 286,103,480
Current portion of long term loan 141,648
Current portion of lease liability 92,492,576
Income tax payable 44,590,570
Other tax and obligation 9,721,384
Total current liabilities 459,893,174
Total Liabilities & Equity
Total liabilities 511,879,367
Total equity and liabilities 828,831,957

Cash Flow Statement

FY 2011 EC

Item Amount (ETB)
Operating Activities
Profit before tax 304,854,981
Depreciation of property, plant and equipment 32,931,078
Amortization of right use of assets 351,262
Severance expense 1,421,062
Interest expense 2,136,471
(Gain)/Loss on disposal of PPE 25,238,510
Reversal of employee benefit -7,440,160
Increase in trade and other receivables and prepayments -3,697,986
Increase in inventories -42,592,057
Increase in trade and other payables -4,212,317
Cash generated from operations 308,990,845
Interest paid -2,136,471
Income tax paid -63,831,741
Net cash from operating activities 243,022,633
Investing Activities
Purchase of property, plant and equipment -92,510,995
Proceeds from sale of PPE 1,500,000
Net cash used in investing activities -91,010,995
Financing Activities
Payment of lease liabilities -141,648
Repayment of borrowings -29,508,983
Dividends paid to owners -102,000,000
Net cash from/(used in) financing activities -131,650,631
Net Change in Cash 20,361,007
Closing Cash & Equivalents 67,679,215

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