4.3 CONSOLIDATED FINANCIAL STATEMENTS
OF THE POŠTA SLOVENIJE GROUP
4.3.1 Consolidated statement of financial position
In EUR
Note
31. 12. 2020
31. 12. 2019
ASSETS
Non-current assets
Intangible assets
1
5,890,010
5,774,610
Property, plant and equipment
2
340,926,491
346,659,775
Investment property
3
33,160,030
35,185,013
Investments in associates
4
2,694,918
2,558,615
Other financial assets
5
78,283
175,819
Financial receivables
6
475,082
489,399
Operating receivables
7
509,613
624,079
Other assets
8
506,648
609,262
Deferred tax assets
40
9,158,595
9,671,334
393,399,670
401,747,906
Current assets
Assets held for sale
9
1,168,520
2,896,592
Assets from contracts with customers
10
11,302,080
7,929,079
Inventories
11
2,250,271
2,045,359
Financial receivables
12
9,603,406
1,010,000
Operating receivables
13
75,250,781
73,918,328
Receivables for corporate income tax
14
215,699
243,492
Advances and other assets
15
1,370,300
5,476,274
Cash and cash equivalents
16
77,550,619
50,603,445
178,711,676
144,122,569
Total assets
572,111,346
545,870,475
The notes to the consolidated financial statements are a constituent part thereof and should be read in conjunction with them.
In EUR
Note
31. 12. 2020
31. 12. 2019
EQUITY AND LIABILITIES
Equity
17
Share capital
121,472,482
121,472,482
Share premium account
80,392,585
80,392,585
Legal reserves
2,044,145
1,887,630
Fair value reserves
-4,301,382
-2,667,722
Foreign currency translation differences
-824,988
-264,000
Retained earnings
95,627,457
86,826,955
Non-controlling interest
31,062,856
41,991,532
325,473,155
329,639,462
Non-current liabilities
Provisions
18
23,754,235
21,896,575
Deferred revenues
19
318,161
320,009
Financial liabilities
20
116,887,035
45,746,768
Operating liabilities
21
1,162,068
1,228,713
Deferred tax liabilities
40
12,592,104
12,771,958
154,713,603
81,964,023
Current liabilities
Financial liabilities
22
17,348,079
66,754,989
Operating liabilities
23
58,431,433
56,309,437
Corporate income tax liabilities
24
854,002
408,480
Liabilities from contracts with customers
25
737,732
638,820
Deferred revenues
26
228,496
349,271
Other liabilities
27
14,324,846
9,805,993
91,924,588
134,266,990
Total liabilities
246,638,191
216,231,013
Total equity and liabilities
572,111,346
545,870,475
The notes to the consolidated financial statements are a constituent part thereof and should be read in conjunction with them.
4.3.2 Consolidated income statement
In EUR
Note
2020
2019
Operating revenues
Sales revenue
29
410,694,634
277,857,007
Gains and losses from the derecognition of operating receivables
-17,752
-81,375
Other revenues
30
16,040,452
5,509,699
426,717,334
283,285,331
Operating expenses
Historical cost of goods sold
31
1,570,084
2,742,304
Costs of materials and energy
31
17,916,842
14,056,457
Costs of services
32
165,040,353
76,674,192
Labour costs
33
199,717,426
161,710,361
Amortisation/depreciation
34
26,579,308
19,650,127
Impairment losses on receivables (including the reversal of impairment losses or gains)
242,253
-45,055
Other costs
35
7,726,086
3,305,963
418,792,352
278,094,349
OPERATING PROFIT OR LOSS
7,924,982
5,190,982
Bargain purchase gain
36
-
59,951,321
Finance income from participation in the profit of subsidiaries, associates and joint ventures
37
682,782
544,605
Finance income
38
756,569
792,346
Finance costs
39
2,640,124
1,050,300
PROFIT OR LOSS FROM FINANCING ACTIVITIES
-1,200,773
60,237,972
PRE-TAX PROFIT OR LOSS
6,724,209
65,428,954
Current tax
40
1,131,158
192,668
Deferred tax
40
417,997
-30,777
NET PROFIT OR LOSS FOR THE FINANCIAL YEAR
5,175,054
65,267,063
Net profit or loss for the financial year attributable to:
- owner of the controlling company
4,516,421
65,532,990
- non-controlling interests
658,633
-265,927
The notes to the consolidated financial statements are a constituent part thereof and should be read in conjunction with them.
4.3.3 Consolidated statement of other comprehensive income
In EUR
Note
2020
2019
Net profit or loss for the financial year
5,175,054
65,267,063
Items that will not be reclassified subsequently to profit or loss
41
Actuarial gains/losses from long-term employee benefits
-1,448,842
-1,502,986
Deferred taxes in connection with items that will not be reclassified subsequently to profit or loss
29,910
127,562
Changes in fair value of land
-79,164
-
Transfer of actuarial losses to retained earnings
-68,288
-
Corporate income tax on retained earnings
-85,457
-
-1,651,841
-1,375,424
Items that will be reclassified subsequently to profit or loss
41
Loss recognised for the revaluation of financial assets at fair value through other comprehensive income
-7,223
14,440
Other changes in fair value
-
-219
Foreign currency translation differences
-592,575
-264,000
-599,798
-249,779
Total comprehensive income for the financial year
2,923,415
63,641,860
Comprehensive income after taxes attributable to owner of the controlling company
2,310,949
63,907,787
Comprehensive income after taxes attributable to the non-controlling interest
612,466
-265,927
The notes to the consolidated financial statements are a constituent part thereof and should be read in conjunction with them.
4.3.4 Consolidated cash flow statement
In EUR
Note
2020
2019
Cash flows from operating activities
Net profit for the accounting period
5,175,055
65,267,063
Adjustments for:
-amortisation and depreciation (+)
34
26,579,308
19,650,126
-impairments and write-offs, and reversal of impairment of property, plant and equipment and intangible assets (+)
2,940,345
493,940
-gains (-)/ losses (+) from the sale of property, plant and equipment
-1,316,438
-169,441
-loss from the impairment and write-offs of receivables (+)
362,542
-124,526
-revenues (-) / expenses (+) from provisions
999,471
2,182,334
-finance income from interest (-)
-119,948
-46,485
-other finance income (-)
-790,950
-59,844,319
- finance costs – costs of financing (+)
1,625,971
746,787
-other finance costs (+)
736,424
990
-corporate income tax (including deferred taxes)
1,448,859
-98,025
Cash flow from operating activities before changes in net working capital and taxes
37,640,639
28,058,444
Changes in net working capital and provisions
Changes in assets from contract
-3,373,417
3,360,120
Changes in receivables
2,493,581
-5,607,045
Changes in inventories
-204,522
-96,864
Changes in other current assets
194,174
-117,440
Changes in liabilities from contract
36,231
99,367
Changes in operating liabilities
2,004,384
1,930,217
Changes in provisions
3,897,403
-2,443,661
Change in deferred income
-6,976
238,373
Corporate income tax (including deferred taxes)
-789,751
-147,950
Net cash flow from operating activities
41,891,746
25,273,561
Cash flows from investing activities
Cash and cash equivalents obtained via business combination
-
7,482,000
Inflows from interest received
170,866
-
Inflows from received dividends and shares in profit
552,647
-
Inflows from the sale of intangible assets
-
3,100
Inflows from the sale of property, plant and equipment
4,302,510
812,683
Inflows from the sale of investment property
21,870
-
Inflows from loans granted
6. 12
1,017,770
-
Inflows from the disposal of financial assets
94,661
-
Outflows for the acquisition of intangible assets
-1,640,465
-895,242
Outflows for the acquisition of property, plant and equipment
-20,404,252
-22,653,462
Outflows for the acquisition of investment property
-6,901
-54,993
Outflows for loans granted
6. 12
-9,603,406
-
Outflows for the acquisition of financial assets
-7,351,172
-28,841,266
Net cash flow from investing activities
-32,845,872
-44,147,180
Cash flows from financing activities
Inflows from paid-up capital
-
-342,186
Inflows from the increase in financial liabilities
20
86,423,552
29,324,317
Outflows for the repayment of financial liabilities
22
-62,908,776
-3,383,669
Outflows for interest owed to banks
-856,114
-330,589
Outflows for the repayment of lease liabilities
22
-4,537,427
-2,978,466
Outflows for the payment of interest on leases
-182,919
-203,359
Outflows for the payment of shares in profit
-10,471
-4,000,000
Net cash flow from financing activities
17,927,845
18,086,048
Opening balance of cash and cash equivalents
16
50,603,445
51,391,016
Exchange rate differences relating to cash
-26,545
-
Net cash flow for the period
26,973,719
-787,571
Closing balance of cash and cash equivalents
16
77,550,619
50,603,445
The notes to the consolidated financial statements are a constituent part thereof and should be read in conjunction with them.
4.3.5 Consolidated statement of changes in equity
Statement of changes in equity for 20200
Statement of changes in equity for 2019
The notes to the consolidated financial statements are a constituent part thereof and should be read in conjunction with them.
In EUR
Share capital
Share premium account
Legal reserves
Fair value reserves
Foreign currency translation differences
Net profit or loss brought forward
Net profit or loss for the financial year
Total equity pertaining to the owner of controlling interests
Equity of the owner of non-controlling interests
Total
Balance as at 31 December 2018
121,472,482
80,392,585
1,684,281
-1,367,221
-
15,687,268
9,884,445
227,753,840
375,041
228,128,881
Retroactive adjustments
-
-
-
-
-
23,814
23,814
-
23,814
Balance as at 1 January 2019
121,472,482
80,392,585
1,684,281
-1,367,221
-
15,687,268
9,908,259
227,777,654
375,041
228,152,695
Changes in equity – transactions with owners
Payment of shares in profit
-
-
-
-
-
-4,000,000
-
-4,000,000
-
-4,000,000
Takeover as the result of business combination
-
-
-
-
-
-
-
-
41,896,464
41,896,464
Other changes in equity
-
-
-
-
-
-
-
-
-4,883
-4,883
-
-
-
-
-
-4,000,000
-
-4,000,000
41,891,581
37,891,581
Total comprehensive income for the reporting period
Entry of net profit or loss for the reporting period
-
-
-
-
-
-
65,532,990
65,532,990
-265,927
65,267,063
Changes in fair value reserves due to the valuation of financial assets
-
-
-
14,142
-
-
-
14,142
-
14,142
Other items of comprehensive income in the reporting period
-
-
-
-1,375,424
-264,000
79
-
-1,639,345
-
-1,639,345
-
-
-
-1,361,282
-264,000
79
65,532,990
63,907,787
-265,927
63,641,860
Changes in equity
Allocation of remaining portion of net profit for the comparable reporting period to other components of equity
-
-
-
-
-
9,908,260
-9,908,260
-
-
-
Allocation of a portion of net profit from the reporting period to other components of equity pursuant to resolution of management and supervisory bodies
-
-
215,502
-
-
24
-212,068
458
-458
-
Other changes in equity
-
-
-9,154
60,781
-
-89,597
-
-37,970
-8,704
-46,674
-
-
203,348
60,781
-
9,818,687
-10,120,328
-37,512
-9,162
-46,674
Balance as at 31 December 2019
121,472,482
80,392,585
1,887,630
-2,667,722
-264,000
21,506,034
65,320,921
287,647,930
41,991,532
329,639,462
In EUR
Share capital
Share premium account
Legal reserves
Fair value reserves
Foreign currency translation differences
Net profit or loss brought forward
Net profit or loss for the financial year
Total equity pertaining to the owner of controlling interests
Equity of the owner of non-controlling interests
Total
Balance as at 31 December 2019
121,472,482
80,392,585
1,887,630
-2,667,722
-264,000
21,506,034
65,320,921
287,647,930
41,991,532
329,639,462
Balance as at 1 January 2020
121,472,482
80,392,585
1,887,630
-2,667,722
-264,000
21,506,034
65,320,921
287,647,930
41,991,532
329,639,462
Changes in equity – transactions with owners
Payment of shares in profit
-
-
-
-
-
-
-
-
-10,471
-10,471
Settlement between owners
-
-
-
-
-
-315,942
-
-315,942
315,942
-
Other changes in equity
-
-
-
-
-
4,495,260
-
4,495,260
-11,846,613
-7,351,353
-
-
-
-
-
4,179,318
-
4,179,318
-11,541,142
-7,361,824
Total comprehensive income for the reporting period
Entry of net profit or loss for the reporting period
-
-
-
-
-
-
4,516,421
4,516,421
658,633
5,175,054
Changes in fair value reserves due to the valuation of financial assets
-
-
-
-7,223
-
-
-
-7,223
-
-7,223
Other items of comprehensive income in the reporting period
-
-
-
-1,632,142
-560,988
-5,119
-
-2,198,249
-46,167
-2,244,416
-
-
-
-1,639,365
-560,988
-5,119
4,516,421
2,310,949
612,466
2,923,415
Changes in equity
Allocation of remaining portion of net profit for the comparable reporting period to other components of equity
-
-
-
-
-
65,320,921
-65,320,921
-
-
-
Allocation of a portion of net profit from the reporting period to other components of equity pursuant to resolution of management and supervisory bodies
-
-
156,515
-
-
-
-156,515
-
-
-
Other changes in equity
-
-
-
5,705
-
266,397
-
272,102
-
272,102
-
-
156,515
5,705
-
65,587,318
-65,483,164
272,102
-
272,102
Balance as at 31 December 2020
121,472,482
80,392,585
2,044,145
-4,301,382
-824,988
91,267,551
4,359,906
294,410,299
31,062,856
325,473,155