Page 104 - InterEnergo - Annual Report 2020
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Interenergo                       Accounting report                                                                    Interenergo                       Accounting report




            2.9.2   Statement of Profit or Loss by Activity for 2020                                                               2.9.3   Statement of Cash Flows by Activity for 2020




                                                                                                  SGEI activity                                                                                                          SGEI activity
                                                                                                for heat supply                                                                                                        for heat supply
                                                                                               from the district                                                                                                      from the district
             in EUR                                     Total    Market activity  SGEI activity  heating system                      in EUR                                    Total    Market activity  SGEI activity  heating system

               Revenue                             458,898,377     458,549,894        281,038          67,445                        Cash flows from operating activities
               Other operating income                  22,204          22,204              0               0                          Profit or loss before tax             2,298,805       2,219,537         89,390         -10,122
               Costs of goods sold and material used  -448,688,524  -448,634,248        -459          -53,817                         Adjustments                           1,784,756       1,627,690        156,057           1,010
               Costs of services                    -2,271,012      -2,227,011        -25,691         -18,310                         Change in working capital            -1,785,777      -1,680,401        -75,690         -29,686
               Personnel costs                      -2,414,520      -2,403,481         -7,292          -3,747                         Cash generated from operating
                                                                                                                                      activities                            2,297,784      2,166,827         169,756         -38,798
               Amortisation and depreciation expense  -1,029,100     -872,034        -156,057          -1,010
                                                                                                                                     Cash flows from investing activities
               Impairment of trade receivables and
               contract assets                         -1,103          -1,103              0               0                          Cash proceeds from investing activities  2,916,539    2,916,539             0               0
               Other operating expenses               -175,169       -174,993           -134             -42                          Cash disbursements from investing
                                                                                                                                      activities                          -38,670,635     -38,418,389       -201,045         -51,201
             Operating profit or loss               4,341,153       4,259,228          91,407          -9,481
                                                                                                                                      Cash from (used in) investing
               Finance income                        3,207,835       3,207,835             0               0                          activities                          -35,754,095     -35,501,850       -201,045         -51,201
               Finance costs                        -5,250,183      -5,247,525         -2,017           -641                          Cash flows from financing activities
             Profit or loss from financing activities  -2,042,348   -2,039,690         -2,017           -641                          Cash proceeds from financing activities  56,844,867  56,723,579         31,289          89,999
             Profit or loss before tax               2,298,805      2,219,537          89,390         -10,122                         Cash disbursements from financing
                                                                                                                                      activities                          -21,011,355     -21,011,355             0               0
               Income tax expense                   -1,190,080      -1,190,080             0               0
                                                                                                                                      Cash from (used in) financing
             Profit or loss for the period           1,108,725      1,029,457          89,390         -10,122
                                                                                                                                      activities                           35,833,513     35,712,225          31,289          89,999
                                                                                                                                     Opening balance of cash and cash
                                                                                                                                     equivalents                            6,055,013      6,055,013              0               0
                                                                                                                                     Change in cash and cash equivalents    2,377,202       2,377,202             0               0
                                                                                                                                     Closing balance of cash and cash
                                                                                                                                     equivalents                            8,432,215      8,432,215              0               0


































            102   Integrated Annual Report 2020                                                                                                                                                       Integrated Annual Report 2020 103
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