AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

Telelink Business Services Group AD

Interim / Quarterly Report Nov 30, 2025

2608_rns_2025-11-30_2c672dc1-411b-4c4c-b144-34b65091d122.pdf

Interim / Quarterly Report

Open in Viewer

Opens in native device viewer

EXCERPTS

31/03/2025

consolidated non audited

Data for the respective reporting period
Starting date: 01/01/2025
Ending date: 30/09/2025
Date of preparation: 01/12/2025
Data about the person
Name of the person: Telelink Business Services Group AD
Type of person: Public company
UIC: 205744019
Represented by: Ivan Krasimirov Zhitiyanov
Way of representation: EXECUTIVE DIRECTOR
Sofia, Vitosha district, 2 "Donka Ushlinova" Str.
Management address: Garitage Park, Building 1, 4th floor
1766 Sofia
Sofia, Vitosha district, 2 "Donka Ushlinova" Str.
Correspondence address: Garitage Park, Building 1, 4th floor
1766 Sofia
Telephone number: +359 2 9882413
Fax:
E-mail: [email protected]
Website: https://www.tbs.tech/investors/
Media: x3news
Person that prepared the report: Jordanka Klenovska
Position: Financial Director

*last update December 2021

BALANCE SHEET

(consolidated)

Telelink Business Services Group AD 205744019 30/09/2025

ASSETS Code Current period Previous period LIABILITIES Code Current period *(thousand BGN)
Previous period
а 1 2 а б 1 2
А. NON-CURRENT ASSETS А. SHAREHOLDERS' EQUITY
I. Property, plant and equipment I. Share capital
1. Land 1-0011 0 0 Issued and outstanding shares 1-0411 12,500 12,500
2. Buildings 1-0012 4,256 4,869 Ordinary shares 1-0411-1 12,500 12,500
3. Machinery and equipment 1-0013 1,033 366 Preferred shares 1-0411-2 0 0
4. Facilities 1-0014 0 0 Treasury ordinary shares 1-0417 0 0
5. Vehicles 1-0015 1,657 2,083 Treasury preferred shares 1-0417-1 0 0
6. Office fittings 1-0017-1 963 1,082 Unpaid capital 1-0416 0 0
7. Assets under construction 1-0018 8 0 Total share capital 1-0410 12,500 12,500
8. Other 1-0017 8,559 9,224 II. Reserves
Total property, plant and equipment 1-0010 16,476 17,624 1. Issue premiums 1-0421
II. Investment property 1-0041 525 526 2. Revaluation reserve 1-0422
III. Farm animals 1-0016 0 0 3. Reserves incl.: 1-0423 -14,759 -12,532
IV. Intangible assets general reserves 1-0424 1,377 1,374
1. Rights of ownership 1-0021 22 0 special reserves 1-0425 -449 -537
2. Software 1-0022 351 814 other reserves 1-0426 -15,687 -13,369
3. R&D expenses 1-0023 0 0 Total reserves 1-0420 -14,759 -12,532
4. Other intangible assets 1-0024 56 267 III. Retained earnings
Total intangible assets 1-0020 429 1,081 1. Retained earnings from previous periods 1-0451 38,549 26,917
undistributed profit 1-0452 38,549 26,917
V. Goodwill loss not covered 1-0453 0 0
1. Positive goodwill 1-0051 15,922 15,922 one-time effect from changes in accounting policy 1-0451-1 0 0
2. Negative goodwill 1-0052 0 0 2. Current year profit 1-0454 16,743 11,615
Total goodwill 1-0050 15,922 15,922 3. Current year loss 1-0455 0 0
VI. Financial assets Total retained earnings 1-0450 55,292 38,532
1. Share participations in: 1-0031 0 0
subsidiary companies 1-0032
joint ventures 1-0033 TOTAL SHAREHOLDERS' EQUITY 1-0400 53,033 38,500
associated companies 1-0034
other companies 1-0035
2. Long-term investment securities held to maturity 1-0042 0 0 B. MINORITY SHAREHOLDINGS 1-0400-1
treasury bonds 1-0042-1
bonds 1-0042-2 C. LONG-TERM LIABILITIES
incl. municipality bonds 1-0042-3 I. Long-term debt
other 1-0042-4 1. Due to related parties 1-0511 0 0
3. Other financial assets 1-0042-5 2.Due to financial institutions 1-0512 5,560 5,210
Total long-term financial assets 1-0040 0 0 3. Due under ZUNK 1-0512-1 0 0
VII. Long-term trade and other receivables from: 4. Trade loans 1-0514 0 0
1. Related parties 1-0044 5. Bonds 1-0515 0 0
2. Trade loans 1-0045 6. Other long-term liabilities 1-0517 62 2,594
3. Financial lease receivables 1-0046-1 Total long-term debt 1-0510 5,622 7,804
4. Other long-term receivables 1-0046 29 363
Total long-term trade and other receivables 1-0040-1 29 363 II. Other long-term liabilities 1-0510-1 3,654 4,768
III. Deferred revenues 1-0520 7,050 7,267
VIII. Deferred expenses 1-0060 9,474 9,551 IV. Liabilities on deferred taxes 1-0516 0
IX. Assets on deferred tax payments 1-0060-1 1,732 1,731 V. Financing 1-0520-1 547 547
TOTAL NON-CURRENT ASSETS 1-0100 44,587 46,798 TOTAL LONG-TERM LIABILITIES 1-0500 16,873 20,386
B. CURRENT ASSETS
I. Inventory D. SHORT-TERM LIABILITIES
1. Materials 1-0071 444 270 I. Trade and other payables
2. Finished goods 1-0072 0 0 1. Short-term borrowings 1-0612 17,324 13,252
3. Goods for resale 1-0073 4,545 1,461 2. Short-term part of long-term loans 1-0510-2 0 0
4. Work in progress 1-0076 4,630 3,919 3. Short-term payables 1-0630 63,668 73,075
5. Farm animals 1-0074 0 0 related parties payables 1-0611 0 2
6. Other 1-0077 0 0 trade loans 1-0614 0 0
Total inventory 1-0070 9,619 5,650 trade accounts payables 1-0613 44,104 58,507
advance payments 1-0613-1 12,027 1,051
II. Receivables salaries payable 1-0615 2,060 3,752
1. Related parties receivables 1-0081 4,556 5,167 social security payable 1-0616 680 642
2. Trade accounts receivables 1-0082 102,019 77,663 tax payable 1-0617 4,797 9,121
3. Advance payments 1-0086-1 2,496 369 4. Other 1-0618 2,954 4,251
4. Trade loans 1-0083 0 5. Provisions 1-0619 18,098 11,288
5. Court receivables 1-0084 0 0 Total trade and other payables 1-0610 102,044 101,866
6. Recoverable taxes 1-0085 1,427 1,490 II. Other short-term liabilities 1-0610-1 2,671 2,641
7. Personnel receivables 1-0086-2 0 0
8. Other receivables 1-0086 368 1,274 III. Deferred revenues 1-0700 7,337 12,507
Total receivables 1-0080 110,866 85,963
IV. Financing 1-0700-1 246 725
III.Financial assets
1. Financial assets held for trading 1-0093 0 0 TOTAL SHORT-TERM LIABILITIES 1-0750 112,298 117,739
bonds 1-0093-1
derivatives 1-0093-2
other 1-0093-3
2. Financial assets declared for sale 1-0093-4
3. Other current financial assets 1-0095
Total current financial assets 1-0090 0 0
IV. Cash and cash equivalents
1. Cash 1-0151 1 2
2. Cash in banks 1-0153 6,456 24,883
3. Restricted cash 1-0155 0 0
4. Cash equivalents 1-0157 59 94
Total cash and cash equivalents 1-0150 6,516 24,979
V. Deferred expenses 1-0160 10,616 13,235
TOTAL CURRENT ASSETS 1-0200 137,617 129,827
TOTAL ASSETS 1-0300 182,204 176,625 TOTAL LIABILITIES 1-0800 182,204 176,625

Date: 01 December, 2025

Preparer: Jordanka Klenovska

Representative: Ivan Zhitiyanov

INCOME STATEMENT

(consolidated)

Telelink Business Services Group AD 205744019 30/09/2025

*(thousand BGN)
EXPENSES Code Current period Previous period REVENUES Code Current period Previous period
а 1 2 а б 1 2
А. Expenditures А. Revenues
I. Operating expenses I. Net revenues from the sale of:
1. Materials 2-1120 679 704 1. Finished goods 2-1551 0 0
2. External services 2-1130 61,339 48,073 2. Goods for sale 2-1552 83,311 40,954
3. Depreciation 2-1160 5,403 4,236 3. Services 2-1560 102,208 80,434
4. Salaries 2-1140 24,795 21,778 4. Other 2-1556 50 120
5. Social security 2-1150 3,147 2,858 Total net revenues from sale 2-1610 185,569 121,508
6. Net book value of assets sold (finished goods excluded) 2-1010 49,014 31,987
7. Changes in inventories of finished goods and work in
progress
2-1030 -371 1,593 II. Revenues from financing 2-1620 559 448
8. Other expenses 2-1170 20,378 3,926 incl. government grants 2-1621 559 448
incl. impairment of assets 2-1171 0 0
incl. provisions 2-1172 -137 0 III. Financial income
Total operating expenses: 2-1100 164,384 115,155 1. Interest revenue 2-1710 0 1
2. Divident income 2-1721 0 0
II. Financial expenses 3. Gains from operations with financial assets and instruments 2-1730 0 0
1. Interest expenses 2-1210 803 815 4. Gains from foreign exchange operations 2-1740 2,877 1,275
2. Losses from operations with financial assets and instruments 2-1220 0 -1 5. Other financial income 0 0
3. Losses from foreign exchange operations 2-1230 4,748 1,622 Total financial income 2-1700 2,877 1,276
4. Other financial expenses 2-1240 353 258
Total financial expenses: 2-1200 5,904 2,694
B. Total operating expenses 2-1300 170,288 117,849 B. Total revenues before extraordinary activities 2-1600 189,005 123,232
C. Profit/(loss) from operations 2-1310 18,717 5,383 C. Operating loss 2-1810 0 0
III. Share in the profit of associated and joint companies 2-1250-1 0 0 IV. Share in the loss of associated and joint companies 2-1810-1 0 0
IV. Extraordinary costs 2-1250 101 173 V. Extraordinary revenues 2-1750 60 299
D. Total expenses 2-1350 170,389 118,022 D. Total revenues 2-1800 189,065 123,531
E. Profit before tax 2-1400 18,676 5,509 E. Loss before taxes 2-1850 0 0
V. Tax expense 2-1450 1,933 796
1.Corporate profit tax 2-1451 1,933 796
2. Expenses/(gains) on deferred corporate taxes 2-1452 0 0
3. Other taxes 2-1453 0 0
F. Profit after taxes 2-0454 16,743 4,713 F. Loss after taxes 2-0455 0 0
incl. from minotiry shareholding 2-0454-1 incl. from minority shareholdings 2-0455-1
G. Net profit 2-0454-2 16,743 4,713 G. Net loss 2-0455-2 0 0
Total 2-1500 189,065 123,531 Total 2-1900 189,065 123,531

Note: Exerpt № 2 - Income statement is prepared on accumulated basis.

Date: 01 December, 2025

Preparer: Jordanka Klenovska

Representative: Ivan Zhitiyanov

CASH FLOW STATEMENT

(consolidated)

Telelink Business Services Group AD 205744019

30/09/2025 *(thousand BGN)

CASH FLOW Code Current period Previous period
а 1 2
А. Cash flow from operating activities
1. Cash receipts from customers 45351 197,059 173,056
2. Cash paid to suppliers 3-2201-1 -157,902 -133,302
3. Payments/income related to financial assets 3-2202 0 0
4. Cash paid to employees and social security 3-2203 -28,910 -25,456
5. Paid/refunded taxes except corporate tax/ 3-2206 -19,886 -13,346
6. Corporate tax paid 3-2206-1 -689 -1,050
7. Interest received 3-2204 0 0
8. Interest and bank charges paid on short-term loans 3-2204-1 -13 -188
9. Foreign currency exchange gains/losses net 3-2205 -1,692 -350
10. Other proceeds/payments from operational activity 3-2208 -197 73
Net cash flow from operational activities (A): 3-2200 -12,230 -563
B. Cash flow from investing activity
1. Purchase of fixed assets 3-2301 -2,768 -5,186
2. Sale of fixed assets 3-2301-1 0 271
3. Loans granted 3-2302 0 0
4. Proceeds from loans 3-2302-1 0 505
5. Interest received on granted loans 3-2302-2 0 0
6. Purchase of investments 3-2302-3 -2,596 -10,747
7. Sale of investments 3-2302-4 0 93
8. Dividents received 3-2303 0 0
9. Foreign currency exchange gains/losses net 3-2305 0 0
10. Other proceeds/payments from investing activity 3-2306 80 322
Net cash flow from investing activities (B): 3-2300 -5,284 -14,742
C. Cash flow from financing activities
1. Proceeds on securities issued 3-2401 0 0
2. Payments on securities buy-back 3-2401-1 -2,307 -159
3. Proceeds on loans 3-2403 7,888 75,278
4. Payments of loans 3-2403-1 -3,448 -65,269
5. Payments on leasing contracts 3-2405 -2,093 -1,818
6. Paid interest, charges and commissions on investment loans 3-2404 -634 -252
7 . Dividents paid 3-2404-1 0 0
8. Other proceeds/payments on financing activities 3-2407 -355 -259
Net cash flow from financing activities (C): 3-2400 -949 7,521
D. Net decrease/increase in cash and cash equivalents (A+B+C): 3-2500 -18,463 -7,784
E. Cash and cash equivalents as of the beginning of the period 3-2600 24,979 14,091
F. Cash and cash equivqlents as of the end of the period 3-2700 6,516 6,307
cash and bank deposits 3-2700-1 6,516 6,307
restricted cash 3-2700-2

Note:

The number in the cell "Cash and cash equivalents at the beginning fo the period" represents the respective value at the beginning of the year .

Date: 01 December, 2025

Preparer: Jordanka Klenovska

Representative: Ivan Zhitiyanov

CHANGES IN SHAREHOLDERS' EQUITY STATEMENT

(consolidated)

Telelink Business Services Group AD 205744019

30/09/2025 *(thousand BGN)

Reserves Retained earnings
INDEXES Code Share
capital
Issue
premiums
Revaluation
reserve
Reserves including: profit loss Reserve
from
transfers
Total
shareholders'
equity
Minority
shareholdings
general special other
а 45291 1 2 3 4 5 6 7 8 9 10 11
Code of the row - 6 45351 1-0410 1-0410 1-0422 1-0424 1-0425 1-0426 1-0452 1-0453 4-0426-1 1-0400 1-0400-1
Balance-beginning of reporting period 4-01 12,500 0 0 1,374 -537 -13,369 38,532 38,500 0
Changes in initial balances due to: 4-15 0 0 0 0 0 0 0 0 0 0 0
Effect from changes in accounting policy 4-15-1 0
Fundamental mistakes 4-15-2 0
Corrected balance - beginning of reporting period 4-01-1 12,500 0 0 1,374 -537 -13,369 38,532 0 0 38,500 0
Net profit/loss 4-05 16,743 0 16,743
1. Distributed profit for: 4-06 0 0 0 0 0 0 0 0 0 0 0
dividends 4-07 0
other 4-07-1 0
2. Loss coverage 4-08 0
3. Revaluation of non-current tangible and intangible assets,
incl.:
4-09 0 0 0 0 0 0 0 0 0 0 0
increase 4-10 0
decrease 4-11 0
4. Revaluation of financial assets and instruments, incl.: 4-12 0 0 0 0 0 0 0 0 0 0 0
increase 4-13 0
decrease 4-14 0
5. Deferred tax effect 4-16-1 0
6. Other changes 4-16 3 88 -2,318 17 -2,210
Balance - end of reporting period 4-17 12,500 0 0 1,377 -449 -15,687 55,292 0 0 53,033 0
7. Changes from transfers of annual financial reports of
companies abroad
4-18 0
8. Changes from revaluation of financial reports in case of
hyper inflation
4-19 0
Shareholders' equity - as of end of reporting period 4-20 12,500 0 0 1,377 -449 -15,687 55,292 0 0 53,033 0

Note: The number in the cell "Balance at the beginning of the reporting period" represents the respective value at the end of the previous period.

Date: 01 December, 2025

Preparer: Jordanka Klenovska

YORDANKA LYUBCHOVA KLENOVSKA

Digitally signed by YORDANKA LYUBCHOVA KLENOVSKA Date: 2025.12.01 15:59:20 +02'00'

Representative: Ivan Zhitiyanov

IVAN KRASIMIROV ZHITIYANOV

Digitally signed by IVAN KRASIMIROV ZHITIYANOV Date: 2025.12.01 17:29:23 +02'00'

Talk to a Data Expert

Have a question? We'll get back to you promptly.