Annual / Quarterly Financial Statement • Feb 13, 2015
Annual / Quarterly Financial Statement
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Situatii financiare individuale intocmite in conformitate cu Standardele Internationale de Raportare Financiara – pentru anul incheiat la 31.12.2014 (sumele sunt exprimate in ron, daca nu este precizat altfel)
| Denumirea indicatorilor |
31.12.2014 | 31.12.2013 |
|---|---|---|
| 1. Active imobilizate, total din care: |
230.681.211 | 230.026.943 |
| 1.1 Imobilizari necorporale |
306.943 | 421.056 |
| 1.2 Imobilizari corporale |
218.011.407 | 217.241.998 |
| 1.3 Investitii imobiliare |
2.908.669 | 2.908.864 |
| 1.4 Active biologice |
14.328 | 15.356 |
| 1.5 Actiuni detinute la filiale |
9.439.669 | 9.439.669 |
| 2. Active circulante, total din care |
49.885.984 | 51.824.383 |
| 2.1 Stocuri | 15.486.782 | 13.947.746 |
| 2.2 Creante comerciale |
34.025.637 | 37.334.712 |
| 2.3 Numerar si echivalente de numerar |
373.565 | 541.925 |
| 3. Cheltuieli in avans | 6.182 | 15.740 |
| Total Active | 280.573.377 | 281.867.066 |
Situatii financiare individuale intocmite in conformitate cu Standardele Internationale de Raportare Financiara – pentru anul incheiat la 31.12.2014 (sumele sunt exprimate in ron, daca nu este precizat altfel)
| 4. Capitaluri proprii |
31.12.2014 | 31.12.2013 |
|---|---|---|
| 4.1 Capital social subscris varsat |
24.266.709 | 24.266.709 |
| 4.2 Ajustari ale capitalului social (IAS 29) |
0 | 0 |
| 4.3 Alte elemente de capital propriu |
(761.896) | (843.216) |
| 4.4 Prime de capital |
14.305.342 | 14.305.342 |
| 4.5 Rezerve din reevaluare |
124.289.853 | 125.299.143 |
| 4.6 Rezerve legale |
4.193.091 | 4.117.908 |
| 4.7 Alte rezerve |
29.621.437 | 28.873.108 |
| 4.8 Actiuni proprii |
0 | 0 |
| 4.9 Rezultat reportat (117) |
7.843.444 | 7.843.444 |
| 4.10 Rezultat reportat (118) |
0 | 0 |
| 4.11 Profitul sau pierderea perioadei |
1.199.914 | 803.402 |
| 4.12 Repartizarea profitului |
(75.183) | (55.073) |
| Total capitaluri proprii |
204.882.711 | 204.610.767 |
| 5. Subventii pentru investitii |
7.562.242 | 10.689.735 |
| 6. Datorii pe termen lung, total din care: |
17.118.386 | 25.483.177 |
| 1. Sume datorate institutiilor de credit si alte datorii |
16.356.490 | 24.639.961 |
| 2. Impozit pe profit amanat |
761.896 | 843.216 |
Situatii financiare individuale intocmite in conformitate cu Standardele Internationale de Raportare Financiara – pentru anul incheiat la 31.12.2014
(sumele sunt exprimate in ron, daca nu este precizat altfel)
| Datorii curente, total din |
51.010.038 | 41.083.387 |
|---|---|---|
| care | ||
| 1. Datorii comerciale si de alta natura |
10.987.611 | 5.472.716 |
| 2. Sume datorate institutiilor de credit |
39.173.159 | 34.842.383 |
| 3. Datorii din impozite si taxe curente |
849.268 | 768.288 |
| TOTAL PASIVE: | 280.573.377 | 281.867.066 |
Presedinte Consiliu de Administratie, Director Economic,
Ing.Milut Petre Marian Ec. Boitan Daniela
Situatii financiare individuale intocmite in conformitate cu Standardele Internationale de Raportare Financiara – pentru anul incheiat la 31.12.2014 (sumele sunt exprimate in ron, daca nu este precizat altfel)
| Denumire indicatori |
31.12.2014 | 31.12.2013 |
|---|---|---|
| 1.1 Cifra de afaceri neta |
57.223.421 | 68.377.338 |
| 1.2 Variatia stocurilor de produse finite si productia in curs de executie |
7.614.935 | 6.016.737 |
| 1.3 Venituri din productia de imobilizari corporale |
9.418.885 | 12.216.975 |
| 1.4 Alte venituri |
740.103 | 1.079.908 |
| 1. VENITURI DIN EXPLOATARE - TOTAL |
74.997.344 | 87.690.958 |
| 2.1 Materii prime si materiale consumabile utilizate |
(30.981.301) | (38.279.148) |
| 2.2 Alte cheltuieli externe (cu energia si apa) |
(9.333.561) | (13.032.518) |
| 2.3 Cheltuieli cu beneficiile angajatilor |
(8.581.872) | (10.572.921) |
| 2.4 Cheltuieli cu amortizarea si deprecierea |
(7.823.984) | (6.961.902) |
| 2.5 Alte cheltuieli |
(14.348.141) | (11.703.853) |
| 2. CHELTUIELI DE EXPLOATARE - TOTAL |
(71.068.859) | (83.219.167) |
| 3. PROFITUL SAU PIERDEREA DIN EXPLOATARE |
3.928.485 | 4.471.791 |
Situatii financiare individuale intocmite in conformitate cu Standardele Internationale de Raportare Financiara – pentru anul incheiat la 31.12.2014
(sumele sunt exprimate in ron, daca nu este precizat altfel)
| 4. Venituri financiare |
75.235 | 145.352 |
|---|---|---|
| 5. Cheltuieli financiare |
(2.483.339) | (3.515.684) |
| 6. PROFITUL SAU PIERDEREA FINANCIARA |
(2.408.104) | (3.370.332) |
| 7. Total venituri | 75.072.579 | 87.836.310 |
| 8. Total cheltuieli | (73.552.198) | (86.734.851) |
| 9. PROFIT BRUT | 1.520.381 | 1.101.459 |
| 10.Impozit pe profit | (320.467) | (298.057) |
| 11.PROFIT NET | 1.199.914 | 803.402 |
Ing.Milut Petre Marian Ec. Boitan Daniela
Situatii financiare individuale intocmite in conformitate cu Standardele Internationale de Raportare Financiara – pentru anul incheiat la 31.12.2014 (sumele sunt exprimate in ron, daca nu este precizat altfel)
Consiliul de Administratie al S.C. PREFAB S.A. declara prin prezenta ca isi asuma raspunderea pentru intocmirea Situatiilor Financiare preliminate intocmite la data de 31.12.2014.
Consiliul de Administratie al S.C. PREFAB S.A. confirma, in ceea ce priveste Situatiile Financiare preliminate intocmite la data de 31.12.2014 , urmatoarele :
a) Situatiile Financiare preliminate la data de 31.12.2014 sunt intocmite in conformitate cu Standardele Internationale de Raportare Financiara,asa cum au fost adoptate de Uniunea Europeana.
b) Politicile contabile utilizate la intocmirea Situatiilor Financiare preliminate intocmite la data de 31.12.2013 sunt in conformitate cu reglementarile contabile aplicabile.
b) Situatiile Financiare preliminate intocmite la data de 31.12.2014 ofera o imagine fidela a pozitiei financiare, performantei financiare si a celorlalte informatii referitoare la activitatea desfasurata.
Societatea isi desfasoara activitatea in conditii de continuitate.
Prezenta declaratie este in conformitate cu prevederile art. 30 din Legea Contabilitatii nr. 82/1991 republicata.
Presedinte Consiliu de Administratie,
Rezultatele prezentate sunt intocmite in conformitate cu Standardele Internationale de Contabilitate si au caracter preliminar , urmand a fi supuse auditarii financiare conform prevederilor legale..
1. Activele circulante au scazut cu 1.938.399 lei – de la 51.824.383 lei- 31.12.2013- la 49.885.984 lei – 31.12.2014 , corelat cu scaderea cifrei de afaceri cu 11.153.917 lei – de la 68.377.338 lei -31.12.2013, la 57.223.421 lei – inregistrata la 31.12.2014 – scadere a fost determinata de diminuarea cererii in piata materialelor pentru constructii si corelarea productiei cu tendintele pietei.
2.Sumele datorate pe termen scurt au crescut cu 9.926.651 lei - de la 41.083.387 lei - 31.12.2013 la 51.010.038 lei -31.12.2014, crestere datorata contractarii unei linii de factoring pentru sustinerea poductiei de prefabricate, incasarile realizandu-se pana la 6 luni de la lucrarile executate, cat si obtinerii unor scadente avantajoase din partea furnizorilor, in conditiile in care nivelul stocurilor de produse finite este de 9.324.337 lei la 31.12.2014.
3.Sumele datorate pe termen lung institutiilor de credit au scazut cu 8.364.791 lei -de la 25.483.177 lei –31.12.2013 la 17.118.386 lei– 31.12.2014 , scadere datorata rambursarilor efectuate, aferente creditelor pentru investitii aflate in derulare .
4.Rezultatul din exploatare la 31.12.2014 este in suma de 3.928.485 lei, fata de 4.471.791 lei realizat in anul 2013, in scadere fata de aceeasi perioada a anului precedent, scadere datorata conjucturii economice actuale.
5.Rezultatul financiar la 31.12.2014 este in suma de – 2.408.104 lei (pierdere), fata de – 3.370.332 lei (pierdere) realizat in anul 2013, inregistrand o apreciere determinata in principal de scaderea gradului de indatorare al societatii.
In cursul anului 2014 nu s-au facut fuziuni sau reorganizari semnificative ale societatii si nici nu s-au instrainat active principale ale societatii.
La 31.12.2014 s-au realizat venituri totale in valoare de 75.072.579 lei , reprezentand 85.47% fata de veniturile realizate in aceeasi perioada a anului 2013, si cheltuieli totale in valoare de 73.552.198 lei , reprezentand 84.80% fata de cheltuielile realizate in anul 2013. In aceste conditii, rezultatul brut este de 1.520.381 lei in crestere fata de cel inregistrat in anul 2013 cu aproximativ 38% .
Director Economic, Ec. Boitan Daniela
Separate financial statements prepared in accordance with International Financial Reporting Standards - for the year ended on 31.12.2014
(amounts in Ron, unless otherwise noted)
| Name of indicators | 31.12.2014 | 31.12.2013 |
|---|---|---|
| 1. Fixed assets, of which: |
230.681.211 | 230.026.943 |
| 1.1 Intangible assets |
306.943 | 421.056 |
| 1.2 Tangible assets |
218.011.407 | 217.241.998 |
| 1.3 Investment Property |
2.908.669 | 2.908.864 |
| 1.4 Biological assets |
14.328 | 15.356 |
| 1.5 Investments in subsidiaries |
9.439.669 | 9.439.669 |
| 2. Current assets, of which: | 49.885.984 | 51.824.383 |
| 2.1 Stocks | 15.486.782 | 13.947.746 |
| 2.2 Trade receivables | 34.025.637 | 37.334.712 |
| 2.3 Cash and cash equivalents | 373.565 | 541.925 |
| 3. Expenses in advance | 6.182 | 15.740 |
| Total Assets | 280.573.377 | 281.867.066 |
(amounts in Ron, unless otherwise noted)
| 4. Own capitals | 31.12.2014 | 31.12.2013 |
|---|---|---|
| 4.1 Subscribed and paid in share capital |
24.266.709 | 24.266.709 |
| 4.2 Adjustment of capital (IAS 29) |
0 | 0 |
| 4.3 Other components of own capital |
(761.896) | (843.216) |
| 4.4 Share premium |
14.305.342 | 14.305.342 |
| 4.5 Revaluation reserves |
124.289.853 | 125.299.143 |
| 4.6 Legal reserves |
4.193.091 | 4.117.908 |
| 4.7 Other reserves |
29.621.437 | 28.873.108 |
| 4.8 Own shares |
0 | 0 |
| 4.9 Carry over result (117) |
7.843.444 | 7.843.444 |
| 4.10 Carry over result (118) |
0 | 0 |
| 4.11 Profit or loss of period |
1.199.914 | 803.402 |
| 4.12 Distribution of profit |
(75.183) | (55.073) |
| Total own capitals | 204.882.711 | 204.610.767 |
| 5. Investment subsidies | 7.562.242 | 10.689.735 |
| 6. Long-term liabilities, of which: |
17.118.386 | 25.483.177 |
| 1. Amounts owed to credit institutions and other liabilities |
16.356.490 | 24.639.961 |
| 2. Deferred income tax Impozit pe profit amanat |
761.896 | 843.216 |
(amounts in Ron, unless otherwise noted)
| Current debts, of which: | 51.010.038 | 41.083.387 |
|---|---|---|
| 1. Trade debts and other hazards |
10.987.611 | 5.472.716 |
| 2. Amounts owed to credit institutions |
39.173.159 | 34.842.383 |
| 3. Debts of current taxes |
849.268 | 768.288 |
| TOTAL LIABILITIES: | 280.573.377 | 281.867.066 |
President Board of Directors, Economic Director,
Eng.Milut Petre Marian Ec. Boitan Daniela
| Name of indicators | 31.12.2014 | 31.12.2013 |
|---|---|---|
| 1.1 Net turnover | 57.223.421 | 68.377.338 |
| 1.2 Changes in inventories of finished goods and work in progress |
7.614.935 | 6.016.737 |
| 1.3 Incomes from production of tangible assets |
9.418.885 | 12.216.975 |
| 1.4 Other income | 740.103 | 1.079.908 |
| 1. OPERATING REVENUE - TOTAL |
74.997.344 | 87.690.958 |
| 2.1 Raw materials and consumables used |
(30.981.301) | (38.279.148) |
| 2.2 Other external expenses (for energy and water) |
(9.333.561) | (13.032.518) |
| 2.3 Employee benefits expense | (8.581.872) | (10.572.921) |
| 2.4 Depreciation and amortization expenses |
(7.823.984) | (6.961.902) |
| 2.5 Other expenses | (14.348.141) | (11.703.853) |
| 2. OPERATING EXPENSES - TOTAL |
(71.068.859) | (83.219.167) |
| 3. OPERATING PROFIT OR LOSS |
3.928.485 | 4.471.791 |
| 4. Financial income | 75.235 | 145.352 |
| 5. Financial expenses | (2.483.339) | (3.515.684) |
| 6. FINANCIAL PROFIT OR | (2.408.104) | (3.370.332) |
Separate financial statements prepared in accordance with International Financial Reporting Standards - for the year ended on 31.12.2014
(amounts in Ron, unless otherwise noted)
| LOSS | ||
|---|---|---|
| 7. Total income | 75.072.579 | 87.836.310 |
| 8. Total expenses | (73.552.198) | (86.734.851) |
| 9. GROSS PROFIT | 1.520.381 | 1.101.459 |
| 10. Income tax |
(320.467) | (298.057) |
| 11. NET PROFIT |
1.199.914 | 803.402 |
Eng.Milut Petre Marian Ec. Boitan Daniela
S.C. PREFAB S.A. BUCURESTI Separate financial statements prepared in accordance with International Financial Reporting Standards - for the year ended on 31.12.2014 (amounts in Ron, unless otherwise noted)
S.C. PREFAB S.A. Board of Directors hereby declares that assumes responsibility for the preliminary financial statements made on 31.12.2014.
S.C. PREFAB S.A. Board of Directors, in respect of the preliminary financial statements made on 31.12.2014, confirm the following:
a) The preliminary financial statements made on 31.12.2014 are prepared in accordance with International Financial Reporting Standards, as adopted by the European Union.
b) The accounting policies used in preparing the preliminary financial statements made on 31.12.2014 are in accordance with applicable accounting regulations.
b) The preliminary financial statements made on 31.12.2014 provide an accurate image of the financial position, financial performance and other information related to the business.
The company operates in conditions of continuity.
This statement is in accordance with the provisions of art. 30 by Accounting Law no. 82/1991, republished.
President Board of Directors, Eng. Milut Petre Marian
The results presented are drawn in accordance with International Accounting Standards and have preliminary character and will be subject to financial audit as required by law.
1. The current assets decreased by 1.938.399 Ron - from 51.824.383 Ron - 31.12.2013 - to 49.885.984 Ron - 31.12.2014, correlated with the decreased turnover with 11.153.917 Ron from 68.377.338 Ron - 31.12.2013, to 57.223.421 Ron - registered on 31.12.2014 - the decrease was due to lower demand in the market of building materials production and correlation with market trends.
2. The amounts due in short term increased by 9.926.651 Ron - from 41.083.387 Ron - 31.12.2013 to 51.010.038 Ron - 31.12.2014, an increase due to contract of a factoring line to support the production of prefabrication, the proceeds being made up to 6 months from the works performed, and to obtain advantageous maturities from suppliers, given that the stocks of finished goods is for 9.324.337 Ron on 31.12.2014.
3. The amounts due in long term to credit institutions decrease by 8.364.791 Ron - from 25.483.177 Ron - 31.12.2013 to 17.118.386 Ron - 31.12.2014, a decrease due to reimbursements made related to loans for investments in progress.
4. The operating result on 31.12.2014 is in amount of 3.928.485 Ron, compared to 4.471.791 Ron realized in 2013, decreasing compared to the same period of the last year, a decrease due to the current economic conjuncture.
5. The financial result on 31.12.2014 is in amount of - 2.408.104 Ron (loss), compared to - 3.370.332 Ron (loss) realized in 2013, registering an appreciation mainly determinated by decrease of company indebtedness level.
During 2014, there were not made significant mergers or reorganizations of the company and there were not alienated main assets of the company.
On 31.12.2014 there were realized total incomes in amount of 75.072.579 Ron, representing 85.47% compared to incomes realized in the same period of 2013 and total expenditure in amount of 73.552.198 Ron, representing 84.80% compared to expenditures realized in 2013. In these conditions, the gross result is 1.520.381 Ron, increasing about 38% compared to that recorded in 2013.
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