Page 102 - One Report Thai Final_ENG_2021
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Tycoons Worldwide Group (Thailand) Plc.
Tycoons Worldwide Group (Thailand) Public Company Limited and its subsidiary
Cash flow statement
For the year ended 31 December 2021
(Unit: Baht)
Financial statements
Consolidated in which equity
financial statementmethod is applied Separate financial statements
2021 2020 2021 2020
Cash flows from operating activities
Profit (Loss) before tax 384,874,418 (315,200,370) 70,581,690 (352,879,845)
Adjustments to reconcile profit (loss) before tax to
net cash provided by (paid from) operating activities:
Depreciation 262,410,217 277,682,565 262,345,039 277,682,565
Amortisation 12,869,551 16,663,562 12,869,551 16,663,562
Bad debt 2,601,654 - 2,601,654 -
Allowance for expected credit losses (reversal) (18,018,541) 15,319,823 (18,018,541) 15,319,823
Reversal of inventory to net realisable value (36,144,900) (40,116,014) (36,144,900) (40,116,014)
Losses from raw material purchase contracts (reversal) (7,483,181) 7,514,706 (7,483,181) 7,514,706
Gains on disposal of equipment (919,620) - (919,620) -
Losses on write-off of building and equipment 9,099,707 2,268,686 9,099,707 2,268,686
Impairment loss on equipment 227,636,626 - 227,636,626 -
Impairment loss on investment in associate - - - 295,335,910
Share of losses from investment in associate 87,873,410 257,656,435 - -
Provision for long-term employee benefits 3,410,734 3,358,752 3,410,734 3,358,752
Unrealised losses (gains) on fair value of derivatives (10,356,882) 10,611,174 (10,356,882) 10,611,174
Unrealised losses (gains) on exchange 12,237,549 (19,802,198) 12,237,549 (19,802,198)
Loss (gain) on reclassification of investment (52,792,222) - 349,609,319 -
Finance income (536,926) (730,854) (536,926) (730,854)
Finance cost 37,731,647 52,808,777 37,731,647 52,808,777
Profit from operating activities before
changes in operating assets and liabilities 914,493,241 268,035,044 914,663,466 268,035,044
Operating assets (increase) decrease
Trade and other receivables 9,319,660 142,709,559 9,319,660 142,709,559
Inventories (490,907,558) (414,861,649) (490,907,558) (414,861,649)
Other current assets 40,727,857 (116,902,594) 40,727,979 (116,902,594)
Other non-current assets (15,304,034) (12,495,548) (15,304,034) (12,495,548)
Operating liabilities increase (decrease)
Trade and other payables 21,606,670 (182,610,349) 21,728,670 (182,610,349)
Other current liabilities (567,008,600) 884,968,922 (567,008,600) 884,968,922
Net cash flows from (used in) operating activities (87,072,764) 568,843,385 (86,780,417) 568,843,385
The accompanying notes are an integral part of the financial statements.
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