Company Information
Annual Accounts 2004
June 2005
September 2005
December 2005
 
March 2006
Annual Accounts 2006
Cash Flow Statement (Un Audited)
For The Half Year Ended December 31, 2005
 
 
    December 31
2005
  December 31
2004
    Rupees   Rupees
           
Cash Generated From Operations        
         
(Loss) / Profit Before Taxation    (343,933)    1,691,342
         
Adjustment For Non Cash Charges And Other Items        
  Depreciation of property, plant and equipment
Depreciation of investment property
Amortisation of intangible assets
Provision for staff gratuity
Provision for doubtful debts
Financial charges
Gain on sale of property, plant and equipment
   
2,454,744
128,706
41,876
480,000
275,668
2,485,988

(1,521,450)
   
 2,352,112
128,706
41,876
420,000
48,190
1,814,436

(941,141)
  Operating profit before working capital changes   4,001,600   5,555,521
           
 (Increase) / Decrease in Current Assets        
  Stock-in-trade
Trade debts
Loan and advances
Trade deposits and short term prepayments
Other receivables
  (6,400,198)
(5,307,707)
(1,737,484)
(4,932,329)
(1,698,015)
   (3,486,759)
(7,202,611)
(1,845,468)
(1,442,612)
279,887
      (20,075,733)   (13,697,563)
Increase / (Decrease) in Current Liabilities        
  Short term borrowings
Trade and other payables
   1,008,000
690,295
   3,325,220
2,464,234
      1,698,295   5,789,454
  Cash generated / (used in) from operations   (14,375,838)   (2,352,588)
           
  Financial charges paid
Staff gratuity paid
Tax paid
    (2,323,577)
(359,989)
(91,924)
   (1,741,387)
(222,823)
(3,651,731)
Net Cash (Outflow) From Operating Activities   (17,151,328)   (7,968,529)
           
Cash Flows From Investing Activities        
           
  Purchase of property, plant and equipment
Long term deposits
Proceeds from sale of property, plant and equipment
   (407,200)
198,411
 
1,655,950
   (375,300)
4,601
 
986,000
Net Cash From Investing Activities   1,447,161   615,301
           
Cash Flows From Financing Activities        
           
  Repayment of liability under finance lease
Repayment of long term loan
Dividend paid
Repayment of redeemable capital
   (132,617)
-     
-     
(2,875,000)
   (1,166,666)
(500,000)
(1,098,942)
(2,250,000)
Net Cash (Outflow) From Financing Activities   (3,007,617)   (5,015,608)
      (18,711,784)   (12,368,837)
Cash and cash equivalents at the beginning of the period   (8,155,590)   (10,365,304)
Cash and cash equivalents at the end of the period   (26,867,374)   (22,734,141)
           
The Cash and cash equivalent comprises of the following items        
           
  Cash and bank balances
Short term finances
  1,920,009
(28,787,383)
   3,673,947
(26,408,088)
      (26,867,374)   (22,734,141)
           
The annexed notes from an integral part of these financial statements.
Imran Azim
Chief Executive
Nasim Beg
Director
           
           
           
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