Institute of Certified Management Accountants of Sri Lanka. Managerial Level November 2013 Examination

Size: px
Start display at page:

Download "Institute of Certified Management Accountants of Sri Lanka. Managerial Level November 2013 Examination"

Transcription

1 Copyright Reserved Serial No Managerial Level November 2013 Examination Examination Date : 23 rd November 2013 Number of Pages : 05 Examination Time: 9.30 a:m p:m. Number of Questions: 05 Instructions to Candidates 1. Time allowed is three (3) hours. 2. Total: 100 Marks. 3. Answer all questions in Part I and three (3) questions from Part II. 4. The answers should be in English Language. Subject Subject Code Corporate Reporting and Analysis (CRA / ML 2 302) PART I Answer all questions Question No. 01 (40 Marks) 1. Jaiz Lanka PLC has a subsidiary in Thailand where repatriation of dividends is severely restricted. Directors board of Jaiz has rejected the accountant s proposal to deconsolidate the subsidiary as these restrictions were not relaxed for several years. Evaluate the Directors decision. 2. Martin (Colombo) PLC uses revaluation method to value its property, plant & equipment. Its subsidiary Martin (India) Ltd., located in Chennai, India uses cost basis for valuation as it is impractical to revalue its property at the end of each financial year. Give your comments. (02 Marks) 3. Apple, Bends and Crown are public companies, their draft statements of financial position at 31 st March 2013 of are as follows: Apple Bends Crown Property, Plant & Equipments 5,000 4,100 2,400 Investment in Bends 4, Investments in Crown 1,200 2,200 - Other investments 2, Stocks 1, ,200 Receivables 1, ,000 Cash ,060 16,500 8,500 6,000 1

2 Stated capital 8,000 3,000 3,000 Other equity components 4,500 1, Retained earnings 1, Term loans 0 1, Creditors 1,000 1,000 1,400 Bank balances 1,500 1,050-16,500 8,500 6,000 Consider the following information. (i) Apple acquired 15% of the equity of Crown for Rs.990,000/- on 01/04/2011 and 75% of the equity of Bends for Rs. 4.5 mn on 01/04/2012. Bends acquired 60% of the equity of Crown for Rs.2.2 mn on 01/04/2011. Bends Crown 01/04/ /04/ /04/2012 Rs. 000 Rs. 000 Fair value of the identifiable net assets 4,600 2,900 4,400 Other equity components 1, Retained earnings (ii) The excesses in fair values and any impairment may be absorbed to lands and goodwill. (iii) The fair value of the 15% holding of Apple in Crown was Rs.1.1 mn at 31 st March 2012 and Rs.1.2 mn at 31 st March The fair value of Bends s interest in Crown had not changed since acquisition. (iv) Bends net assets had a recoverable value of Rs.6,300/- as at 31/03/2013. (v) Apple s receivables include Rs.500,000/- due from Bends and Rs. 300,000/- due from Crown. (vi) Apple has sold Rs. 1.5 mn goods to Bends during the year ended 31/03/2013. Apple made a mark-up on cost of 25% on these sales. Bends had Rs. 1.0 million of these goods in inventory as at 31/03/2013. You are required to prepare the group consolidated statement of financial position of Apple as at 31/03/2013. (25 Marks) 4. Blue Plc. acquired a 30% interest in Comet Plc. at a cost of Rs. 1 mn on 01/04/2012. Blue accounts for its investment in the associate under the equity method. Comet had net assets of Rs. 2 mn at the date of acquisition, of which the fair value was Rs. 2.4 mn. Comet reported a post-tax profit of Rs.500,000/- for the year ended 31/03/2013, and paid a dividend of Rs.100,000/-. Comet has recognized a foreign exchange loss of Rs.100,000/- in other comprehensive income. Blue did not participate in the rights issue of ordinary shares by Comet subscribed on 01/04/2013. The rights issue brought in an additional Rs.300,000/- in cash. Explain how should Blue account for the dilution of its investment in Comet? (05 Marks) 2

3 5. Manual PLC acquired 80% interest in Helma Ltd., Singapore for SGD 22,000 on 01/04/2012. Consider following information, for year ended 31 st March SGD Fair Value of identifiable net assets 01/04/ ,000 Profit for the year 10,000 Exchange rates Rs. /SGD are as follows: 01/04/2012 Rs. 101 = SGD1 Average for the year Rs. 104 = SGD1 31/03/2013 Rs. 102 = SGD1 Part II You are required to show the translation adjustments in other comprehensive income for the year ended 31/03/2013. Give your assumptions (if any). (05 Marks) (Total 40 Marks) End of Part I Answer any three (3) questions Question No. 02 (20 Marks) 1. (a) What are the conditions applicable in recognizing revenue on sale of goods? (b) A sports club charges Rs.2,000/- at entry, being Rs.500/- for enrolment and 1,500 annual membership. The club had 20,000 members by the end of 31 st march Explain the method of revenue recognition. (c) GoodSell & Co. is an importer of a special washing machine from China. The machine costs Rs.45,000/- to GoodSell and the normal cash price is fixed at Rs.65,000/- with a credit period of one month or with a Rs.5,000/- discount for cash on delivery. GoodSell has sold 4,000 units during the year ended 31/03/2013, at Rs.80,000/- each with a credit period of six months, 3,000 machines at Rs.65,000/- with a credit period of one month and 2,000 units at Rs.60,000/- with discount on cash at delivery. Explain the measurement of income from machine sales. (04 Marks) 2. DIGI PLC reports results of Machinery & Insurance segments in its financial statements. However, DIGI reports four divisional results in its internal accounts; machinery leasing, machinery sales, investments and insurance. The results of these as at 31 st March 2013 are given below. External Revenue Internal profit/loss assets liabilities Machinery: Leasing Sales (4) Total Investment and insurance: Investment Insurance 60 8 (53) Total You are required to explain the segment information required to be disclosed in the financial statements for the year ended 31/03/2013. (10 Marks) 3

4 Question No. 03 (20 Marks) 1. (a) MI PLC issued a perpetual bond (does not have a maturity date) in 2012 at an interest rate of 12% p.a. The bond has been classified as a financial liability in the statement of financial position as at 31/03/2013. Discuss the appropriateness of classification. (b) LANKA PLC issued 1 million convertible bonds with a maturity of six (6) years, each at Rs.1,000/- par on 31/03/2013. The bond carries an interest rate of 15% p.a. and is convertible into 100 million ordinary shares of the company. The company s share is currently traded at Rs. 20/-. It has estimated that a similar bond (i.e. with similar maturity value and interest cash flow) but without a conversion option can be issued at Rs.900/- each. (i) Give the accounting treatment on initial recognition. (04 Marks) (ii) Explain the method of recognition in the statement of financial position as at 31/03/ KLUD PLC gives you the following information. Salaries and allowances paid to the Managing Director during the year ended : Salary Rs. 2.4 million, Contributions to retirement benefit plan Rs. 900,000, Foreign travelling reimbursement Rs.1.2 million. Sales made during the year 2013 to parent company: Rs.100 million and amounts due to parent company as at Rs.12 million. A loan amount due from Spring & Co., an associate of KLUD, is Rs. 10 million. This loan has been fully secured against the property of the associate company. Raw materials purchased during the year from Spring & Co. were amounted to Rs. 50 million. These are at normal commercial terms and accounted for 25% of KLUD s total purchases for the year. You are required to: (a) List the items that are not required to be disclosed as related party transactions. (b) Draft a sample related-party transactions footnote to be included in the financial statements of the company. (07 Marks) 4

5 Question No. 04 (20 Marks) (a) Small and medium enterprises take no notice of corporate social responsibility frequently, is it impossible for them? Discuss. (10 Marks) (b) Financial reporting frauds effectuated through the intentional misuse of fair value accounting standards. Explain how fair value accounting rules can be improperly applied to fraudulently present the financial condition or results of operations of an entity. (10 Marks) Question No. 05 (20 Marks) Harsh Ltd. and TwoTrees Ltd. are retailers operating in the same market. The board of directors of Harsh plans for an expansion through a right issue of 2 for every 4 shares held as at 31/03/2013. The following financial information is available for the year ended 31/03/2013. Harsh Rs. TwoTrees Rs. Sales 17,622,000 21,480,000 Gross profit 6,512,120 7,904,300 Net profit 1,192,900 1,249,800 Stated capital 3,360,000 (Issued at Rs. 10 each) 3,600,000 (Issued at Rs. 9 each) Sector Information Total assets 16,200,000 17,008,000 Market Value per share 31/03/ Debt 980,000 2,560,000 Dividends declared 1,600,000 1,130,000 Dividend Pay-out 29.5% Dividend yield 7.44% Price Earnings GP Ratio 36% NP Ratio 9% Leverage 40% Based on the above information, you are required to write a report to the board of directors of Harsh Ltd. on its performance and market rating. Include limitations to your recommendations. End of Part II End of Question Paper 5

Institute of Certified Management Accountants of Sri Lanka. Managerial Level May 2014 Examination. Corporate Reporting and Analysis (CRA / ML 2 302)

Institute of Certified Management Accountants of Sri Lanka. Managerial Level May 2014 Examination. Corporate Reporting and Analysis (CRA / ML 2 302) Copyright Reserved Serial No Managerial Level May 2014 Examination Examination Date : 10 th May 2014 Number of Pages : 05 Examination Time: 9.30 a:m. 12.30 p:m. Number of Questions: 05 Instructions to

More information

Institute of Certified Management Accountants of Sri Lanka. Managerial Level November 2016 Examination

Institute of Certified Management Accountants of Sri Lanka. Managerial Level November 2016 Examination Copyright Reserved Serial No Managerial Level November 2016 Examination Examination Date : 12 th November 2016 Number of Pages : 05 Examination Time: 9.30 a:m. 12.30 p:m. Number of Questions: 05 Instructions

More information

Institute of Certified Management Accountants of Sri Lanka Operational Level October 2017 Examination

Institute of Certified Management Accountants of Sri Lanka Operational Level October 2017 Examination Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Operational Level October 2017 Examination Examination Date : 28 th October 2017 Number of Pages : 08 Examination

More information

Copyright Reserved Serial No. Institute of Certified Management Accountants of Sri Lanka. Operational Level May 2015 Examination

Copyright Reserved Serial No. Institute of Certified Management Accountants of Sri Lanka. Operational Level May 2015 Examination Copyright Reserved Serial No Operational Level May 2015 Examination Examination Date : 16 th May 2015 Number of Pages : 09 Examination Time: 9.30 a:m. 12.30 p:m. Number of Questions: 07 Instructions to

More information

Institute of Certified Management Accountants of Sri Lanka Operational Level May 2018 Examination

Institute of Certified Management Accountants of Sri Lanka Operational Level May 2018 Examination Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Operational Level May 2018 Examination Examination Date : 12 th May 2018 Number of Pages : 08 Examination Time: 9.30

More information

Institute of Certified Management Accountants of Sri Lanka Operational Level November 2015 Examination

Institute of Certified Management Accountants of Sri Lanka Operational Level November 2015 Examination Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Operational Level November 2015 Examination Examination Date : 14 th November 2015 Number of Pages : 10 Examination

More information

Institute of Certified Management Accountants of Sri Lanka Operational Level November 2018 Examination

Institute of Certified Management Accountants of Sri Lanka Operational Level November 2018 Examination Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Operational Level November 2018 Examination Examination Date : 10 th November 2018 Number of Pages : 10 Examination

More information

XYZ PLC. Statement of Comprehensive Income (Single statement approach, analyzed by function of expense) For the year ended 31 March 2013

XYZ PLC. Statement of Comprehensive Income (Single statement approach, analyzed by function of expense) For the year ended 31 March 2013 Statement of Comprehensive Income (Single statement approach, analyzed by function of expense) For the year ended 31 March 2013 Note 2013 2012 Rs'000 Rs'000 Revenue 4 x, xxx x, xxx Cost of Sales (xx) (xx)

More information

Institute of Certified Management Accountants of Sri Lanka Operational Level November 2016 Examination

Institute of Certified Management Accountants of Sri Lanka Operational Level November 2016 Examination Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Operational Level November 2016 Examination Examination Date : 12 th November 2016 Number of Pages : 11 Examination

More information

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS INTERIM FINANCIAL STATEMENTS For The Year Ended 31 st March 2018 Unaudited Audited Unaudited Audited Quarter Quarter Variance Year Year Variance ended ended % ended ended % 31.03.2018 31.03.2017 31.03.2018

More information

Institute of Certified Management Accountants of Sri Lanka. Strategic Level May 2012 Examination. Financial Strategy and Policy (FSP / SL 3-403)

Institute of Certified Management Accountants of Sri Lanka. Strategic Level May 2012 Examination. Financial Strategy and Policy (FSP / SL 3-403) Copyright Reserved Serial No Strategic Level May 2012 Examination Examination Date : 12 th May 2012 Number of Pages : 08 Examination Time: 9.30 a:m. 12.30 p:m. Number of Questions: 05 Instructions to Candidates

More information

AMOREPACIFIC Group, Inc. and Subsidiaries Consolidated Financial Statements December 31, 2016 and 2015

AMOREPACIFIC Group, Inc. and Subsidiaries Consolidated Financial Statements December 31, 2016 and 2015 AMOREPACIFIC Group, Inc. and Subsidiaries Consolidated Financial Statements Index Page(s) Independent Auditor s Report...1 2 Consolidated Financial Statements Consolidated Statements of Financial Position...3

More information

Cash and cash equivalents 2,588,430 2,501,742 1,011,412 1,176,045. Fixed deposits less than one year 37,057 64,803 14,960 34,203

Cash and cash equivalents 2,588,430 2,501,742 1,011,412 1,176,045. Fixed deposits less than one year 37,057 64,803 14,960 34,203 STATEMENTS OF FINANCIAL POSITION Notes 31 December 2016 31 December 2015 31 December 2016 31 December 2015 ASSETS CURRENT ASSETS Cash and cash equivalents 2,588,430 2,501,742 1,011,412 1,176,045 Fixed

More information

DOOSAN INFRACORE CO., LTD. NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEARS ENDED DECEMBER 31, 2010 AND 2009 AND INDEPENDENT AUDITORS REPORT

DOOSAN INFRACORE CO., LTD. NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEARS ENDED DECEMBER 31, 2010 AND 2009 AND INDEPENDENT AUDITORS REPORT DOOSAN INFRACORE CO., LTD. NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEARS ENDED DECEMBER 31, 2010 AND 2009 AND INDEPENDENT AUDITORS REPORT Independent Auditors Report English Translation of a Report

More information

Foundation Level Pilot Paper. Financial Accounting Fundamentals (FAF / FL 2-102)

Foundation Level Pilot Paper. Financial Accounting Fundamentals (FAF / FL 2-102) Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Foundation Level Pilot Paper Instructions to Candidates 1. Time allowed is two (2) hours. 2. Total: 100 Marks. 3.

More information

Full Year Financial Statement & Dividend Announcement For The Year Ended 31 December 2017

Full Year Financial Statement & Dividend Announcement For The Year Ended 31 December 2017 CITIC ENVIROTECH LTD. ( registration number: 200306466G) Listed companies must provide the information required by Appendix 7.2 of the Listing Manual. Adequate disclosure should be given to explain any

More information

DOOSAN ENGINE CO., LTD. AND SUBSIDIARIES

DOOSAN ENGINE CO., LTD. AND SUBSIDIARIES DOOSAN ENGINE CO., LTD. AND SUBSIDIARIES CONSOLIDATED FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2012 AND 2011, AND INDEPENDENT AUDITORS REPORT Independent Auditors Report English

More information

Institute of Certified Management Accountants of Sri Lanka Managerial Level November 2014 Examination

Institute of Certified Management Accountants of Sri Lanka Managerial Level November 2014 Examination Copyright Reserved Serial No Institute of Certified Management Accountants of Sri Lanka Managerial Level November 2014 Examination Examination Date : 22 nd November 2014 Number of Pages : 06 Examination

More information

DOOSAN ENGINE CO., LTD. SEPARATE FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2012 AND 2011, AND INDEPENDENT AUDITORS REPORT

DOOSAN ENGINE CO., LTD. SEPARATE FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2012 AND 2011, AND INDEPENDENT AUDITORS REPORT DOOSAN ENGINE CO., LTD. SEPARATE FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2012 AND 2011, AND INDEPENDENT AUDITORS REPORT Independent Auditors Report English Translation of a Report

More information

Part A (Not for Profit Organisations, Partnership Firms and Company Accounts)

Part A (Not for Profit Organisations, Partnership Firms and Company Accounts) Roll No. Serial SSR/1 Code No. 56/1/1 Candidates must write the Code on the title page of the answer- book. Please check that this question paper contains 24 printed pages. Code number given on the right

More information

Institute of Certified Management Accountants of Sri Lanka. Strategic Level October 2017 Examination. Financial Strategy and Policy (FSP / SL 3-403)

Institute of Certified Management Accountants of Sri Lanka. Strategic Level October 2017 Examination. Financial Strategy and Policy (FSP / SL 3-403) Copyright Reserved Serial No Strategic Level October 2017 Examination Examination Date : 28 th October 2017 Number of Pages : 05 Examination Time: 1.30 p:m. 4.30 p:m. Number of Questions: 05 Instructions

More information

Shihlin Electric & Engineering Corp. Financial Statements for the Years Ended December 31, 2013 and 2012 and Independent Auditors Report

Shihlin Electric & Engineering Corp. Financial Statements for the Years Ended December 31, 2013 and 2012 and Independent Auditors Report Shihlin Electric & Engineering Corp. Financial Statements for the Years Ended and 2012 and Independent Auditors Report INDEPENDENT AUDITORS REPORT The Board of Directors and Stockholders Shihlin Electric

More information

Institute of Certified Management Accountants of Sri Lanka

Institute of Certified Management Accountants of Sri Lanka Copyright Reserved Serial No Managerial Level Pilot Paper Instructions to Candidates 1. Time allowed is four (4) hours. 2. Answer any four (4) questions in Section A, and answer all questions in Part I

More information

Contents. I. Independent Auditors Report

Contents. I. Independent Auditors Report Contents I. Independent Auditors Report --------------------------------------------------------------- 1 II. Separate Financial Statements Separate Statements of Financial Position ----------------------------------------------

More information

DOOSAN ENGINE CO., LTD. SEPARATE FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2014 AND 2013, AND INDEPENDENT AUDITORS REPORT

DOOSAN ENGINE CO., LTD. SEPARATE FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2014 AND 2013, AND INDEPENDENT AUDITORS REPORT DOOSAN ENGINE CO., LTD. SEPARATE FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED DECEMBER 31, 2014 AND 2013, AND INDEPENDENT AUDITORS REPORT INDEPENDENT AUDITORS REPORT English Translation of Independent

More information

Gintech Energy Corporation and Subsidiaries

Gintech Energy Corporation and Subsidiaries Gintech Energy Corporation and Subsidiaries Consolidated Financial Statements for the Three Months Ended and 2016 and Independent Auditors Review Report INDEPENDENT AUDITORS REVIEW REPORT The Board of

More information

DOOSAN INFRACORE CO., LTD. SEPARATE FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2011 AND INDEPENDENT AUDITORS REPORT

DOOSAN INFRACORE CO., LTD. SEPARATE FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2011 AND INDEPENDENT AUDITORS REPORT DOOSAN INFRACORE CO., LTD. SEPARATE FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2011 AND INDEPENDENT AUDITORS REPORT Independent Auditor s Report English Translation of a Report Originally Issued

More information

TATA DAEWOO COMMERCIAL VEHICLE CO., LTD. FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED MARCH 31, 2017 AND 2016

TATA DAEWOO COMMERCIAL VEHICLE CO., LTD. FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED MARCH 31, 2017 AND 2016 TATA DAEWOO COMMERCIAL VEHICLE CO., LTD. FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED MARCH 31, 2017 AND 2016 1 INDEX Sr. Particulars Page No 1 Independent Auditors Report 3-4 2 Financial Statements

More information

SINGER INDUSTRIES (CEYLON) PLC

SINGER INDUSTRIES (CEYLON) PLC INTERIM FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31ST DECEMBER 2018 STATEMENT OF FINANCIAL POSITION As at 31 st December 2018 2017 Note Rs'000 Rs'000 A S S E T S Non-Current Assets Property, Plant & Equipment

More information

Gintech Energy Corporation and Subsidiaries

Gintech Energy Corporation and Subsidiaries Gintech Energy Corporation and Subsidiaries Consolidated Financial Statements for the Nine Months Ended and and Independent Auditors Review Report INDEPENDENT AUDITORS REVIEW REPORT The Board of Directors

More information

INNOVALUES LIMITED (Company Registration No E)

INNOVALUES LIMITED (Company Registration No E) INNOVALUES LIMITED (Company Registration No. 199702822E) FOURTH QUARTER AND TWELVE MONTHS FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2011 PART I INFORMATION REQUIRED FOR QUARTERLY (Q1, Q2 & Q3),

More information

Aitken Spence Hotel Holdings PLC Interim Statement - Third Quarter

Aitken Spence Hotel Holdings PLC Interim Statement - Third Quarter Interim Statement - Third Quarter ( Nine months ended 31st December 2012 ) Consolidated Income Statement Quarter ended Nine months ended 31st December 31st December 2012 2011 Change 2012 2011 Change Rs.

More information

KCE Electronics Public Company Limited and its subsidiaries

KCE Electronics Public Company Limited and its subsidiaries Statements of financial position Consolidated financial Separate financial 31 December 31 December 31 December 31 December Assets Note 2014 2013 2014 2013 Current assets Cash and cash equivalents 7 463,016,990

More information

Design Studio Group Ltd. 4 th Quarter and Full Year Financial Statements And Dividend Announcement For The Period/ Year Ended 31 December 2015

Design Studio Group Ltd. 4 th Quarter and Full Year Financial Statements And Dividend Announcement For The Period/ Year Ended 31 December 2015 (Incorporated in Singapore) 4 th Quarter and Full Year Financial Statements And Dividend Announcement For The Period/ Year Ended 31 December 2015 PAGE 1 OF 20 4 th Quarter and Full Year Financial Statements

More information

Consolidated Financial Results for the First Three Quarters of the Fiscal Year Ending March 31, 2018 (Japan GAAP)

Consolidated Financial Results for the First Three Quarters of the Fiscal Year Ending March 31, 2018 (Japan GAAP) Consolidated Financial Results for the First Three Quarters of the Fiscal Year Ending March 31, 2018 (Japan GAAP) Name of Listed Company: Yokogawa Electric Corporation (the Company herein) Stock Exchanges

More information

BSc(Hons)in Banking and International Finance. Cohort: BBIF/13B/ PT - BBIF/14B/FT. Examinations for Academic Year 2016

BSc(Hons)in Banking and International Finance. Cohort: BBIF/13B/ PT - BBIF/14B/FT. Examinations for Academic Year 2016 BSc(Hons)in Banking and International Finance Cohort: BBIF/13B/ PT - BBIF/14B/FT Examinations for Academic Year 2016 2017 Semester I / Academic Year 2016 Semester II MODULE: ACCOUNTING AND AUDITING PRACTICE

More information

UNAUDITED FINANCIAL STATEMENTS AND DIVIDEND ANNOUNCEMENT FOR THE FINANCIAL YEAR ENDED 31 MARCH 2017

UNAUDITED FINANCIAL STATEMENTS AND DIVIDEND ANNOUNCEMENT FOR THE FINANCIAL YEAR ENDED 31 MARCH 2017 TRITECH GROUP LIMITED (Company Registration No: 200809330R) (Incorporated in the Republic of Singapore on 13 May 2008) UNAUDITED FINANCIAL STATEMENTS AND DIVIDEND ANNOUNCEMENT FOR THE FINANCIAL YEAR ENDED

More information

HAYLEYS PLC. Interim Report

HAYLEYS PLC. Interim Report HAYLEYS PLC Interim Report FOURTH QUARTER Twelve months ended 31st March, 2018 STATEMENT OF PROFIT OR LOSS Unaudited Audited Unaudited Unaudited 12 months to 12 months to 3 months to 3 months to 31.03.18

More information

Investment property ,979 Other non-current assets 9 581, ,316 17,347,934 17,117,859 Total assets 26,282,313 24,971,082 Liabilities

Investment property ,979 Other non-current assets 9 581, ,316 17,347,934 17,117,859 Total assets 26,282,313 24,971,082 Liabilities Separate Statements of Financial Position (in millions of Korean won) Assets Current assets Cash and cash equivalents 4,5,36 913,208 1,298,349 Financial deposits 4,5,36 65,000 65,000 Trade receivables

More information

KCE Electronics Public Company Limited and its subsidiaries

KCE Electronics Public Company Limited and its subsidiaries Statements of financial position Consolidated Separate financial financial 31 December 31 December Assets Note 2012 2011 2012 2011 Current assets Cash and cash equivalents 7 397,177,878 535,535,464 94,974,827

More information

This Preliminary Final Report is provided to the Australian Securities Exchange ( ASX ) under ASX Listing Rule 4.3A

This Preliminary Final Report is provided to the Australian Securities Exchange ( ASX ) under ASX Listing Rule 4.3A Preliminary Managing Directors Final Report Report of x Vita Life Sciences Limited This Preliminary Final Report is provided to the Australian Securities Exchange ( ASX ) under ASX Listing Rule 4.3A Current

More information

CONSOLIDATED FINANCIAL STATEMENTS These Consolidated Financial Statements were publicly released in the Japanese language on November 9, 2016.

CONSOLIDATED FINANCIAL STATEMENTS These Consolidated Financial Statements were publicly released in the Japanese language on November 9, 2016. CONSOLIDATED FINANCIAL STATEMENTS These Consolidated Financial Statements were publicly released in the Japanese language on November 9, 2016. (1)Consolidated balance sheet 2016/3/31 2016/9/30 Assets Current

More information

SCHOOL OF ACCOUNTING AND BUSINESS BSc. (APPLIED ACCOUNTING) GENERAL/SPECIAL DEGREE PROGRAMME END SEMESTER EXAMINATION JULY 2017

SCHOOL OF ACCOUNTING AND BUSINESS BSc. (APPLIED ACCOUNTING) GENERAL/SPECIAL DEGREE PROGRAMME END SEMESTER EXAMINATION JULY 2017 All Rights Reserved No. of Pages - 10 No of Questions - 05 SCHOOL OF ACCOUNTING AND BUSINESS BSc. (APPLIED ACCOUNTING) GENERAL/SPECIAL DEGREE PROGRAMME END SEMESTER EXAMINATION JULY 2017 AFM 30930Financial

More information

Group. Issue of Ordinary Shares under Employee Share Option Plans (Refer Note 43) 62,942

Group. Issue of Ordinary Shares under Employee Share Option Plans (Refer Note 43) 62,942 Statement of Changes in Equity Commercial Bank of Ceylon PLC Statutory s Stated Capital Statutory Primary Dealer Special Risk Rs. 000 Rs. 000 Rs. 000 Group Balance as at 01.01.2011 10,811,193 2,338,510

More information

EDEN HOTEL LANKA PLC INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 ST MARCH 2017

EDEN HOTEL LANKA PLC INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 ST MARCH 2017 EDEN HOTEL LANKA PLC INTERIM FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 ST MARCH 2017 STATEMENT OF FINANCIAL POSITION As at 31.03.2017 31.03.2016 31.03.2017 31.03.2016 Rs.'000' Rs.'000' Rs.'000' Rs.'000'

More information

Consolidated Statement of Profit or Loss

Consolidated Statement of Profit or Loss 64 PROGRAMMED ANNUAL REPORT Consolidated Statement of Profit or Loss for the financial year ended 31 March Continuing operations Revenue 5 1,434,224 1,434,923 Other income 6(a) 1,027 1,720 Share of net

More information

Annex 1 [RT I 2005, 61, entry into force ] BALANCE SHEET LAYOUT

Annex 1 [RT I 2005, 61, entry into force ] BALANCE SHEET LAYOUT Annex 1 [RT I 2005, 61, 478 - entry into force 01.12.2005] BALANCE SHEET LAYOUT Subdivisions of balance sheet items may be disclosed in the notes on the accounts instead of in the balance sheet. Taking

More information

Financial Results for FY2007 (April 1, 2006 through March 31, 2007) English Translation of the Original Japanese-Language Document

Financial Results for FY2007 (April 1, 2006 through March 31, 2007) English Translation of the Original Japanese-Language Document Financial Results for (April 1, 2006 through March 31, 2007) English Translation of the Original Japanese-Language Document Company name : Isuzu Motors Ltd. Stock exchange on which the shares are listed

More information

Mantas Inc. Directors Report. FINANCIAL PERFORMANCE (Amount in Rs. million)

Mantas Inc. Directors Report. FINANCIAL PERFORMANCE (Amount in Rs. million) Directors Report To the Members, Your Directors are pleased to present the Annual Report on the business and operations of your Company, together with the accounts for the year ended March 31, 2012. FINANCIAL

More information

(Reference Translation)

(Reference Translation) (Reference Translation) May 2, 2017 Summary of Financial Information and Business Results for the First Three Months of Fiscal Year 2017 Ending December 31, 2017 on a Consolidated Basis

More information

For personal use only

For personal use only Transaction Solutions International Limited ABN 98 057 335 672 Appendix 4E - Preliminary Final Report 1. The current reporting period is for the 12 months ended 31 March 2014 and the previous period is

More information

Institute of Certified Management Accountants of Sri Lanka. Strategic Level November 2015 Examination. Financial Strategy and Policy (FSP / SL 3-403)

Institute of Certified Management Accountants of Sri Lanka. Strategic Level November 2015 Examination. Financial Strategy and Policy (FSP / SL 3-403) Copyright Reserved Serial No Strategic Level November 2015 Examination Examination Date : 14 th November 2015 Number of Pages : 06 Examination Time: 1.30 p:m. 4.30 p:m. Number of Questions: 05 Instructions

More information

FINANCIAL STATEMENTS OF UAA (M) SDN BHD BALANCE SHEET. As of Schedule 31 March March As of SOURCES OF FUNDS

FINANCIAL STATEMENTS OF UAA (M) SDN BHD BALANCE SHEET. As of Schedule 31 March March As of SOURCES OF FUNDS BALANCE SHEET SOURCES OF FUNDS Schedule 31 March 2010 31 March 2009 SHAREHOLDERS' FUNDS Share capital 1 2,426,058 2,426,058 Reserves and surplus 2 246,761,737 222,262,909 249,187,795 224,688,967 APPLICATION

More information

Stock exchange on which the shares are listed : Tokyo Stock Exchange in Japan Code number : 7202 :

Stock exchange on which the shares are listed : Tokyo Stock Exchange in Japan Code number : 7202 : FY2017 Second Quarter Consolidated Financial Results (Japan GAAP) (April 1, 2016 through September 30, 2016) English Translation of the Original Japanese-Language Document November 7, 2016 Company name

More information

MTP_Intermediate_Syllabus 2012_Jun2017_Set 1 Paper 8- Cost Accounting & Financial Management

MTP_Intermediate_Syllabus 2012_Jun2017_Set 1 Paper 8- Cost Accounting & Financial Management Paper 8- Cost Accounting & Financial Management Academics Department, The Institute of Cost Accountants of India (Statutory Body under an Act of Parliament) Page 1 Paper-8: Cost Accounting & Financial

More information

Second Quarter Financial Statement & Dividend Announcement for the Period Ended 30 June 2017

Second Quarter Financial Statement & Dividend Announcement for the Period Ended 30 June 2017 CITIC ENVIROTECH LTD. ( registration number: 200306466G) Listed companies must provide the information required by Appendix 7.2 of the Listing Manual. Adequate disclosure should be given to explain any

More information

UNISAFE FIRE PROTECTION SPECIALISTS SINGAPORE PTE. LTD. Statement of Comprehensive Income for the period ended 31 March 2013

UNISAFE FIRE PROTECTION SPECIALISTS SINGAPORE PTE. LTD. Statement of Comprehensive Income for the period ended 31 March 2013 Statement of Comprehensive Income for the Note Revenue - Cost of Sales - Gross Profit - Other Income 3 1,746 1,746 Less: Expenses Administrative Expenses 55,842 Other Operating Expenses 208,243 (264,085)

More information

Full Year Financial Statement and Dividend Announcement for the Financial Year Ended 30 June 2017

Full Year Financial Statement and Dividend Announcement for the Financial Year Ended 30 June 2017 TIONG WOON CORPORATION HOLDING LTD (Company Registration No. 199705837C) Full Year Financial Statement and Dividend Announcement for the Financial Year Ended 30 June 2017 1(a)(i) A statement of comprehensive

More information

Systex Corporation. Financial Statements for the Years Ended December 31, 2009 and 2008 and Independent Auditors Report

Systex Corporation. Financial Statements for the Years Ended December 31, 2009 and 2008 and Independent Auditors Report Systex Corporation Financial Statements for the Years Ended December 31, 2009 and 2008 and Independent Auditors Report INDEPENDENT AUDITORS REPORT The Board of Directors and Stockholders Systex Corporation

More information

Full Year Financial Statements Announcement for the financial year ended 31 July 2018

Full Year Financial Statements Announcement for the financial year ended 31 July 2018 Full Year Financial Statements Announcement for the financial year ended 31 July 2018 PART 1 INFORMATION REQUIRED FOR QUARTERLY (Q1, Q2 & Q3), HALF-YEAR AND FULL YEAR ANNOUNCEMENTS 1(a)(i) A statement

More information

Consolidated Balance Sheets As of December 31, 2016 As of December 31, 2017 Assets Current assets Cash and deposits 16,270 26,434 Notes and accounts r

Consolidated Balance Sheets As of December 31, 2016 As of December 31, 2017 Assets Current assets Cash and deposits 16,270 26,434 Notes and accounts r Canon Electronics Inc. Annual Report 2017(Unaudited) Consolidated Financial Highlights Net sales Component 44,181 47,650 Electronic Information Appliance 30,246 26,495 Other 8,862 9,623 83,290 83,769 Profit

More information

SCHOOL OF ACCOUNTING AND BUSINESS BSc. (APPLIED ACCOUNTING) GENERAL / SPECIAL DEGREE PROGRAMME

SCHOOL OF ACCOUNTING AND BUSINESS BSc. (APPLIED ACCOUNTING) GENERAL / SPECIAL DEGREE PROGRAMME All Rights Reserved No. of Pages - 12 No of Questions - 05 SCHOOL OF ACCOUNTING AND BUSINESS BSc. (APPLIED ACCOUNTING) GENERAL / SPECIAL DEGREE PROGRAMME YEAR III SEMESTER I (Intake I) END SEMESTER EXAMINATION

More information

:

: Financial Results for (April 1, 2008 through March 31, 2009) English Translation of the Original Japanese-Language Document May 11, 2009 Company name : ISUZU MOTORS LIMITED Stock exchange on which the

More information

Stock exchange on which the shares are listed : Tokyo Stock Exchange in Japan Code number : 7202 :

Stock exchange on which the shares are listed : Tokyo Stock Exchange in Japan Code number : 7202 : FY2019 Second Quarter Consolidated Financial Results (Japan GAAP) (April 1, 2018 through September 30, 2018) English Translation of the Original Japanese-Language Document November 2, 2018 Company name

More information

AUDITOR S REPORT ZonZun (2012) No.1083

AUDITOR S REPORT ZonZun (2012) No.1083 ZonZun Certified Public Accountants Co., Ltd. 4/F. Guoxing Building No.22 Shouti South Rd., Haidian Dist.,Beijing, P.R. China 100044 AUDITOR S REPORT ZonZun (2012) No.1083 TO THE SHAREHOLDERS OF DALIAN

More information

:

: Financial Results for (April 1, 2007 through March 31, 2008) English Translation of the Original Japanese-Language Document May 12, 2008 Company name : ISUZU MOTORS LIMITED Stock exchange on which the

More information

ANNUAL REPORT OF TATA TECHNOLOGIES INC, USA

ANNUAL REPORT OF TATA TECHNOLOGIES INC, USA ANNUAL REPORT OF TATA TECHNOLOGIES INC, USA TATA TECHNOLOGIES INC, USA Directors of the Company 1 Significant Accounting Policies 2-4 Financial Statements and notes forming part of financials 5-15 Directors

More information

Corporate Information

Corporate Information Interim Financial Statements Six Months Ended Corporate Information Domicile & Legal Form Lanka Century Investments PLC is a Public Limited Liability company incorporated and domiciled in Sri lanka. The

More information

Consolidated Financial Statements for the Fiscal Year Ended March 31, 2018

Consolidated Financial Statements for the Fiscal Year Ended March 31, 2018 Ryobi Limited and Consolidated Subsidiaries Consolidated Financial Statements for the March 31, 2018 These consolidated financial statements are based on the Japanese financial statements submitted to

More information

Powerchip Semiconductor Corporation. Financial Statements for the Six Months Ended June 30, 2008 and 2007 and Independent Auditors Report

Powerchip Semiconductor Corporation. Financial Statements for the Six Months Ended June 30, 2008 and 2007 and Independent Auditors Report Powerchip Semiconductor Corporation Financial Statements for the Six Months Ended June 30, 2008 and 2007 and Independent Auditors Report INDEPENDENT AUDITORS REPORT The Board of Directors and Shareholders

More information

SK E&S Co., Ltd. and Subsidiaries Consolidated Financial Statements December 31, 2017 and 2016

SK E&S Co., Ltd. and Subsidiaries Consolidated Financial Statements December 31, 2017 and 2016 SK E&S Co., Ltd. and Subsidiaries Consolidated Financial Statements Index Page(s) Independent Auditor s Report...1 2 Consolidated Financial Statements Consolidated Statements of Financial Position...3

More information

DOOSAN INFRACORE CO., LTD. AND SUBSIDIARIES. Consolidated Financial Statements

DOOSAN INFRACORE CO., LTD. AND SUBSIDIARIES. Consolidated Financial Statements DOOSAN INFRACORE CO., LTD. AND SUBSIDIARIES Consolidated Financial Statements December 31, 2007 (With Independent Auditors Report Thereon) Table of Contents Independent Auditors Report 1 Page Consolidated

More information

(1) Consolidated Balance Sheets As of December 31, 2013 and 2014 ( ) represents negative figures. Millions of yen

(1) Consolidated Balance Sheets As of December 31, 2013 and 2014 ( ) represents negative figures. Millions of yen 3. Consolidated Financial Statements (1) Consolidated Balance Sheets As of and 2014 As of As of ASSETS Current assets: Cash and deposits 119,859 137,082 Notes and accounts receivable trade 238,102 265,818

More information

SINGER INDUSTRIES (CEYLON) PLC

SINGER INDUSTRIES (CEYLON) PLC SINGER INDUSTRIES (CEYLON) PLC INTERIM FINANCIAL STATEMENTS FOR THE PERIOD ENDED 30TH JUNE 2017 December As at 30th June, 2017 2016 2016 Note Rs'000 Rs'000 Rs'000 A S S E T S Non-Current Assets Property,

More information

Gun Ei Chemical Industry Co., Ltd.

Gun Ei Chemical Industry Co., Ltd. Gun Ei Chemical Industry Co., Ltd. Consolidated Financial Statements Consolidated balance sheets As of 2015 and 2016 2015 2016 Assets Current assets Cash and deposits 7,524 10,648 Notes and accounts receivable-trade

More information

Institute of Certified Management Accountants of Sri Lanka. Strategic Level November 2012 Examination. Financial Strategy and Policy (FSP / SL 3-403)

Institute of Certified Management Accountants of Sri Lanka. Strategic Level November 2012 Examination. Financial Strategy and Policy (FSP / SL 3-403) Copyright Reserved Serial No Strategic Level November 2012 Examination Examination Date : 10 th November 2012 Number of Pages : 06 Examination Time: 9.30 a:m. 12.30 p:m. Number of Questions: 05 Instructions

More information

One World Ventures Inc Financial Statements September 30,2010 Statement of Profit and Loss

One World Ventures Inc Financial Statements September 30,2010 Statement of Profit and Loss One World Ventures Inc Financial Statements September 30,2010 Statement of Profit and Loss Income 3 Months Ended 9 Months Ended Sept 30 2010 Sept 30 2009 Sept 30 2010 Sept 30 2009 Manufacturing and Sourcing

More information

Consolidated Financial Statements (1) Consolidated Balance Sheets

Consolidated Financial Statements (1) Consolidated Balance Sheets Consolidated Financial Statements (1) Consolidated Balance Sheets End of consolidated (as of End of consolidated (as of Assets Current assets Cash and time deposits 25,726 34,157 Notes and accounts receivable

More information

SUMMARY FINANCIAL STATEMENTS

SUMMARY FINANCIAL STATEMENTS SUMMARY FINANCIAL STATEMENTS AS OF JUNE 30, 2018 EMPRESA NACIONAL DEL PETRÓLEO 2018 INTERIM CONSOLIDATED STATEMENTS OF FINANCIAL POSITION AS OF JUNE 30, 2018 (UNAUDITED) AND DECEMBER 31, 2017 06.30.2018

More information

FLUIDRA, S.A. AND SUBSIDIARIES. Consolidated Financial Statements and Consolidated Management Report. December 31, 2016

FLUIDRA, S.A. AND SUBSIDIARIES. Consolidated Financial Statements and Consolidated Management Report. December 31, 2016 FLUIDRA, S.A. AND SUBSIDIARIES Consolidated Financial Statements and Consolidated Management Report December 31, 2016 (Together with the Audit Report thereon) Translation of consolidated financial statements

More information

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS

LANKEM CEYLON PLC. Company No. PQ 128 INTERIM FINANCIAL STATEMENTS INTERIM FINANCIAL STATEMENTS For The Quarter Ended 30 th June 2018 Consolidated Company Quarter Quarter Quarter Quarter ended ended Variance ended ended Variance 30.06.2018 30.06.2017 % 30.06.2018 30.06.2017

More information

Summary of Financial Statements (J-GAAP) (Consolidated)

Summary of Financial Statements (J-GAAP) (Consolidated) Summary of Financial Statements (J-GAAP) (Consolidated) November 8, 2013 Company Name: Sodick Co., Ltd. Stock Exchange: Tokyo Stock Exchange, 2nd Section Code Number: 6143 URL: http://www.sodick.co.jp

More information

Consolidated Financial Results for the Fiscal Year Ended March 31, 2007

Consolidated Financial Results for the Fiscal Year Ended March 31, 2007 Head Office : 8-1 Nihonbashi Odenmacho, Chuo-ku, Tokyo, Japan Code No. : 7537 (URL http://www.marubun.co.jp) Contact : Corporate Planning Dept., Phone +81-3-3639-3010, Fax +81-3-5644-7693 OrdinaryGeneral

More information

ALLIED TECHNOLOGIES LIMITED Full Year Financial Statement for the year ended 31 December 2018

ALLIED TECHNOLOGIES LIMITED Full Year Financial Statement for the year ended 31 December 2018 ALLIED TECHNOLOGIES LIMITED Full Year Financial Statement for the year ended 31 December 2018 PART I - INFORMATION REQUIRED FOR ANNOUNCEMENTS OF QUARTERLY (Q1, Q2 & Q3), HALF-YEAR AND FULL YEAR RESULTS

More information

Wipro Technologies SRL

Wipro Technologies SRL BALANCE SHEET AS AT MARCH 31st, 2016 Wipro Technologies SRL ( Amt. in INR, Except Shares and per share Data, unless otherwise stated) As at As at Particulars Notes 31st March 2016 31st March 2015 A. EQUITY

More information

KELANI TYRES PLC FINANCIAL STATEMENTS 31 MARCH 2017

KELANI TYRES PLC FINANCIAL STATEMENTS 31 MARCH 2017 KELANI TYRES PLC FINANCIAL STATEMENTS 31 MARCH 2017 KELANI TYRES PLC ANNUAL REPORT 2016/2017 i Independent Auditor s Report To the shareholders of Kelani Tyres PLC Report on the Financial Statements 1.

More information

Full Year Financial Statement and Dividend Announcement for the Financial Year Ended 30 June 2018

Full Year Financial Statement and Dividend Announcement for the Financial Year Ended 30 June 2018 TIONG WOON CORPORATION HOLDING LTD (Company Registration No. 199705837C) Full Year Financial Statement and Dividend Announcement for the Financial Year Ended 30 June 2018 1(a)(i) A statement of comprehensive

More information

Reporting Under Revised Schedule VI of. A Comparative Study- Old v/s Revised(2011) CA AKSHAY K GUPTA

Reporting Under Revised Schedule VI of. A Comparative Study- Old v/s Revised(2011) CA AKSHAY K GUPTA Reporting Under Revised Schedule VI of Companies Act 1956 A Comparative Study- Old v/s Revised(2011) CA AKSHAY K GUPTA 1 The Ministry of Corporate Affairs (MCA) on Tuesday, the 1st day of March notified

More information

Powertech Technology Inc. and Subsidiaries

Powertech Technology Inc. and Subsidiaries Powertech Technology Inc. and Subsidiaries Consolidated Financial Statements for the Years Ended December 31, 2012 and 2011 and Independent Auditors Report 1 REPRESENTATION LETTER The entities that are

More information

WEEK 6- FINANCIAL STATEMENT OF A CORPORATE ORGANISATION & LEASE

WEEK 6- FINANCIAL STATEMENT OF A CORPORATE ORGANISATION & LEASE CIS FINANCIAL ACCOUNTIG 1.1 CONTACT NUMBER 08038400843 CONTACT HOURS TUESDAYS AND FRIDAY 6PM 7PM. QUESTION WEEK 6- FINANCIAL STATEMENT OF A CORPORATE ORGANISATION & LEASE CHAPTER 10 & 13. MULTIPLE CHOICE

More information

Hynix Semiconductor Inc. Interim Consolidated Statements of Financial Position September 30, 2011 and December 31, 2010

Hynix Semiconductor Inc. Interim Consolidated Statements of Financial Position September 30, 2011 and December 31, 2010 Interim Consolidated Statements of Financial Position September 30, 2011 and December 31, 2010 (in millions of Korean won) Notes September 30, 2011 December 31, 2010 Assets (Unreviewed) Current assets

More information

I believe that the audit evidence I have obtained is sufficient and appropriate to provide a basis for my audit opinion.

I believe that the audit evidence I have obtained is sufficient and appropriate to provide a basis for my audit opinion. AUDITOR S REPORT To the Shareholders of Major Cineplex Group Public Limited I have audited the accompanying consolidated and company financial statements of Major Cineplex Group Public Limited and its

More information

ILLUSTRATIVE FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2012 International Financial Reporting Standards

ILLUSTRATIVE FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2012 International Financial Reporting Standards ILLUSTRATIVE FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2012 International Financial Reporting Standards A Layout (International) Group Plc Annual report and financial statements For the year ended 31

More information

INTERIM FINANCIAL STATEMENTS for the nine months ended (Un-audited)

INTERIM FINANCIAL STATEMENTS for the nine months ended (Un-audited) INTERIM FINANCIAL STATEMENTS for the nine months ended 30.09.2013 (Un-audited) Bank of Ceylon CONSOLIDATED INCOME STATEMENT 1 Rs. 000 30th September For the nine months ended 2013 2012 Change % Bank For

More information

DEEPAK PHENOLICS LIMITED (Formerly known as Deepak Clean Tech Limited ) Balance Sheet as at March 31, 2016 As at March 31, 2016

DEEPAK PHENOLICS LIMITED (Formerly known as Deepak Clean Tech Limited ) Balance Sheet as at March 31, 2016 As at March 31, 2016 DEEPAK PHENOLICS LIMITED (Formerly known as Deepak Clean Tech Limited ) Balance Sheet as at Note No. I. EQUITY AND LIABILITIES Shareholders Funds Share Capital 2 6,184.41 1,405.00 Reserves and Surplus

More information

BUKIT DARAH PLC INTERIM REVIEW FOR THE PERIOD ENDED 30TH SEPTEMBER 2018

BUKIT DARAH PLC INTERIM REVIEW FOR THE PERIOD ENDED 30TH SEPTEMBER 2018 BUKIT DARAH PLC Condensed Interim Financial Statements For the period ended 30th September 2018 Condensed Interim Financial Statements For the period ended 30th September 2018 BUKIT DARAH PLC INTERIM

More information

TATA DAEWOO COMMERCIAL VEHICLE CO., LTD. FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED MARCH 31, 2015 AND 2014 AND INDEPENDENT AUDITORS' REPORT

TATA DAEWOO COMMERCIAL VEHICLE CO., LTD. FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED MARCH 31, 2015 AND 2014 AND INDEPENDENT AUDITORS' REPORT TATA DAEWOO COMMERCIAL VEHICLE CO, LTD FINANCIAL STATEMENTS AS OF AND FOR THE YEARS ENDED MARCH 31, 2015 AND 2014 AND INDEPENDENT AUDITORS' REPORT INDEX Sr Particulars Page No 1 Directors' Report 36 2

More information

Hynix Semiconductor Inc.

Hynix Semiconductor Inc. Interim Consolidated Financial Statements June 30, 2011 Index June 30, 2011 Page(s) Report on Review of Interim Financial Statements... 1-2 Interim Consolidated Financial Statements Interim Consolidated

More information

General Certificate of Education Advanced Level Examination June 2012

General Certificate of Education Advanced Level Examination June 2012 General Certificate of Education Advanced Level Examination June 2012 Accounting ACCN3 Unit 3 Further Aspects of Financial Accounting Tuesday 12 June 2012 9.00 am to 11.00 am For this paper you must have:

More information

4. Consolidated Financial Statements (1) Consolidated Balance Sheets As of December 31, 2015 ASSETS Current assets: 107, , ,066 54,075

4. Consolidated Financial Statements (1) Consolidated Balance Sheets As of December 31, 2015 ASSETS Current assets: 107, , ,066 54,075 4. Consolidated Financial Statements (1) Consolidated Balance Sheets As of and 2015 ASSETS Current assets: As of As of Cash and deposits 137,082 107,617 Notes and accounts receivable trade 265,818 290,897

More information