Resus Energy PLC: Interim Report 01st Quarter 2022-2023
Resus Energy PLC: Interim Report 01st Quarter 2022-2023
Resus Energy PLC: Interim Report 01st Quarter 2022-2023
Interim Report
01st Quarter 2022-2023
RESUS ENERGY PLC
Interim Report 01st Quarter 2022-2023
Provisional Financial Statements
STATEMENT OF FINANCIAL POSITION - GROUP
Unaudited
30.06.2022
31.03.2022
ASSETS Rs. Rs.
Non-current assets
Property, plant and equipment 4,089,616,613 4,250,444,706
Right of use asset 35,990,615 36,949,994
Intangible assets 181,139,888 181,139,889
Deferred tax assets 94,263,650 94,263,707
4,401,010,766 4,562,798,296
Current assets
Inventories 17,106,497 15,458,368
Trade and other receivables 801,202,912 577,767,761
Income tax recoverable 1,891,520 1,891,520
Cash and cash equivalents 114,768,172 195,430,281
934,969,101 790,547,930
Total Assets 5,335,979,867 5,353,346,226
Non-current liabilities
Interest bearing loans and borrowings 2,652,657,969 2,623,681,680
Lease liability 31,282,060 31,829,231
Retirement benefit obligations 26,431,347 25,617,322
Deferred tax liabilities 53,719,457 53,719,457
2,764,090,833 2,734,847,690
Current liabilities
Trade and other payables 75,982,081 250,892,617
Lease liability 9,473,637 8,022,841
Income tax liabilities 3,522,772 3,522,772
Interest bearing loans and borrowings 382,711,483 466,762,346
Bank overdrafts 321,232,662 180,931,173
792,922,635 910,131,749
Total Equity and Liabilities 5,335,979,867 5,353,346,227
(1)
Net assets per share 22.51 21.62
These Financial Statements are in compliance with the requirements of the Companies Act No. 07 of 2007.
……………………………
R M S Tillakawardana
Chief Financial Officer
The Board of Directors is responsible for the preparation and presentation of these Financial Statements.
Signed for and on behalf of the Board by,
…………………………………… ……………………………….
G.A.K. Nanayakkara H A S Madanayake
Managing Director Chairman
Non-current assets
Property, plant and equipment 1,151,249,891 1,160,595,892
Right of use asset 10,006,660 10,657,152
Intangible assets 125,407,510 125,407,510
Investments in subsidiaries 736,644,125 736,644,125
Deferred tax assets - -
2,023,308,186 2,033,304,679
Current assets
Inventories 11,189,815 10,955,870
Trade and other receivables 688,319,139 512,384,176
Income tax recoverable 790,027 790,027
Cash and cash equivalents 98,862,521 190,695,163
799,161,502 714,825,236
Total Assets 2,822,469,688 2,748,129,915
Non-current liabilities
Interest bearing loans and borrowings 962,282,084 1,010,683,570
Lease liability 4,101,860 3,790,822
Retirement benefit obligations 25,908,780 25,103,523
Deferred tax liabilities 17,984,057 17,984,057
1,010,276,781 1,057,561,972
Current liabilities
Trade and other payables 116,858,562 159,595,598
Lease liability 4,242,827 4,332,571
Interest bearing loans and borrowings 221,192,895 253,187,698
Bank overdrafts 262,849,377 95,057,792
605,143,661 512,173,659
Total Equity and Liabilities 2,822,469,688 2,748,129,915
0
Net assets per share 15.27 14.91
These Financial Statements are in compliance with the requirements of the Companies Act No. 07 of 2007.
……………………………
R M S Tillakawardana
Chief Financial Officer
The Board of Directors is responsible for the preparation and presentation of these Financial Statements.
Signed for and on behalf of the Board by,
…………………………………… ……………………………….
G.A.K. Nanayakkara H A S Madanayake
Managing Director Chairman
Tax expense - - -
Profit/(loss) for the period 70,599,612 114,046,971 (38)
Attributable to:
Equity holders of the parent 70,599,612 114,046,971 (38)
Non-controlling interest - - -
70,599,612 114,046,971 (38)
Attributable to:
Equity holders of the parent 70,599,612 114,046,971 (38)
Non-controlling interest - - -
70,599,612 114,046,971 (38)
Tax expense - - -
Profit/(loss) for the period 28,654,962 59,570,645 (52)
Attributable to:
Equity holders of the parent 28,654,962 59,570,645 (52)
Non-controlling interest - - -
28,654,962 59,570,645 (52)
Attributable to:
Equity holders of the parent 28,654,962 59,570,645 (52)
Non-controlling interest - - -
28,654,962 59,570,645 (52)
Adjustments for;
Depreciation 26,059,835 18,073,217
Depreciation of Right of use Asset 959,379 968,703
Provision for Defined Benefit Plan 814,025 805,257
Finance Cost 74,320,909 37,612,738
Finance charges on lease liability 903,623 1,052,622
Finance Income (165,715) (47,169)
Operating profit before working capital changes 173,491,668 172,512,340
Adjustments for;
Depreciation 9,654,680 9,703,156
Depreciation of Right of use Asset 650,492 611,001
Provision for Defined Benefit Plan 805,257 805,257
Finance Cost 21,900,092 23,333,736
Finance charges on lease liability 221,293 263,714
(Profit)/Loss on Sale of Fixed Assets -
Non Cash Payment -
Finance Income (165,076) (46,666)
Operating profit before working capital changes 61,721,698 94,240,843
1 Basis of preparation
The condensed interim financial statements have been prepared in accordance with Sri Lanka Accounting Standard LKAS-34, Interim Financial
Reporting. The condensed interim financial statements should be read in conjunction with the annual financial statements for the year ended 31st March
2021, including the changes to accounting policies as a result of convergence to revised Sri Lanka Accounting Standards (SLFRSs/LKASs). Further,
provisions of the Companies Act No. 7 of 2007 have been considered in preparing the interim financial statements.
3 Contingent Liabilities
The Tax Appeal Commission issued its determination related to year of assessments 2011/12 and 2012/13 ruling against the Company. The Company has
appealed to the Court of Appeal against the determination.
Other than the above, there have been no material changes to the contingencies disclosed in the annual audited financial statements for the year ended 31st
March 2021.
There have been no material events occurring after the reporting period that require adjustments to or disclosure in the financial statements.
RESUS ENERGY PLC
Interim Report 01st Quarter 2022-2023
Provisional Financial Statements
SHARE INFORMATION AS AT 30TH JUNE 2022
2 The percentage of shares held by the public as at 30th June 2022 was 34.69% (30th June 2021 - 34.71%).
The number of public share holders as at 30th June 2022 was 2,789 (30th June 2021- 2,497)
The Company complies with option 5 of the Listing Rules 7.13.1 (a) - Less than Rs. 2.5 Bn Float Adjusted Market Capitalization which
requires 20% minimum Public Holding.
3 Shares of the Company were listed on the Colombo Stock Exchange on 8th October 2009.
As at 30.06.2022 30.06.2021
Mr. H. A. S. Madanayake - Chairman - -
Mr. U. G. Madanayake - -
Prof. K. A. M. K. Ranasinghe 135 135
Mr. U. P. Egalahewa - -
Mr. G. A. K. Nanayakkara (Managing Director) 151,594 151,594
Ms. D. C. Abeyawardena 38,404 21,404
Mr. K P P M Amarasiri - Alternate Director - -
190,133 173,133
30.06.2022 30.06.2021
%
No. of Shares No. of Shares
CORPORATE INFORMATION
Legal Form
Quoted Public Company with limited liability,
the ordinary shares of the Company were listed on the Colombo Stock Exchange on 8th October 2009
Date of Incorporation
11 June 2003
Registered Office
No. 250/1,
Torrington Avenue, Colombo 7,
Sri Lanka.
Telephone: +94-11-7731731
Facsimile: +94-11-7731555
Directors
Mr. H A S Madanayake - Non-Executive Chairman
Mr. G A K Nanayakkara - Managing Director
Mr. U G Madanayake - Non-Executive Director
Professor K A M K Ranasinghe - Independent Non-Executive Director
Mr. U P Egalahewa PC - Independent Non-Executive Director
Ms. D C Abeyawardena -Independent Non-Executive Director
Mr. K P P M Amarasiri - Alternate Director
Audit Committee
Professor K A M K Ranasinghe - Chairman
Mr. U P Egalahewa PC
Ms. D C Abeyawardena
Remuneration Committee
Mr. U P Egalahewa PC - Chairman
Professor K A M K Ranasinghe
Mr. H A S Madanayake
Secretaries
Nexia Corporate Consultants (Private) Limited
No. 181, Nawala Road, Narahenpita, Colombo 5.
Tel : 0112368154
Fax : 0112368621
Registrars
S S P Corporate Services (Private) Limited
No. 101, Inner Flower Road, Colombo 3.
Tel : 0112573894
Auditors
Ernst & Young
Chartered Accountants
No. 201, De Saram Place, Colombo 10.
Bankers
Sampath Bank PLC
Commercial Bank of Ceylon PLC
National Development Bank PLC
Hatton National Bank PLC
Seylan Bank PLC
Nations Trust Bank PLC
Pan Asia Banking Corporation PLC
DFCC Bank PLC
Investor Relations
RESUS Energy PLC
No 250/1, Torrington Avenue,
Colombo 07
Sri Lanka
Telephone : +(94) 11 7731731
Facsimile : +(94) 11 7731555
NOTES