Annual Report • Apr 10, 2024
Annual Report
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| 2023 | 2022 | |
|---|---|---|
| € | € | |
| Income | 2.141.173 | 1.738.462 |
| Cost of sales | (1.459.356) | (1.116.914) |
| Gross profit | 681.817 | 621.548 |
| Other operating income |
70 | 60.001 |
| Distribution and sales expenses | (173.855) | (168.478) |
| Administrative costs | (222.182) | (257.687) |
| Net loss of impairment of assets and contractual assets | - | (276) |
| Operating profit | 285.850 | 255.108 |
| Financing costs |
(82.977) | (59.971) |
| Profit before taxation |
202.873 | 195.137 |
| Taxation | (25.752) | (277) |
| Net profit for the year |
177.121 | 194.860 |
| Other Total Income | - | - |
| Total Income for the year | 177.121 | 194.860 |
| Earnings per share attributed to the shareholders of the parent company (cents) |
1.31 | 1.44 |
| 2023 | 2022 | |
|---|---|---|
| € | € | |
| Assets | ||
| Non-current assets | ||
| Property, plant and equipment |
2.772.617 | 3.002.850 |
| Intangible assets | 378 | 2.756 |
| Financial assets at fair value through Other Total Income | ||
| 13.225 | 13.225 | |
| 2.786.220 | 3.018.831 | |
| Current assets | ||
| Inventories | 569.988 | 498.573 |
| Trade and other receivables | 244.769 | 278.666 |
| Financial assets at fair value through profit and loss | 1 | 1 |
| Tax refundable | - | 649 |
| Cash at bank and in hand | 14.410 | 9.273 |
| 829.168 | 787.162 | |
| Total assets | 3.615.388 | 3.805.993 |
| Equity and liabilities | ||
| Equity | ||
| Share capital | 4.592.196 | 4.592.196 |
| Share premium reserve | 98.673 | 98.673 |
| Other reserves |
2.709.900 | 2.709.900 |
| Accumulated losses | (6.245.912) | (6.423.033) |
| Total equity | 1.154.857 | 977.736 |
| Non-current liabilities | ||
| Borrowings | 1.248.550 | 1.352.025 |
| Deferred tax liabilities | - | 189.201 |
| 1.248.550 | 1.541.226 | |
| Current liabilities | ||
| Trade and other creditors | 362.830 | 434.672 |
| Borrowings | 813.363 | 833.603 |
| Finance lease liabilities | 11.011 | 18.756 |
| Current tax liabilities | 24.777 | - |
| 1.211.981 | 1.287.031 | |
| Total liabilities | 2.460.531 | 2.828.257 |
| Total equity and liabilities | 3.615.388 | 3.805.993 |
| Share Capital € |
Share premium reserve € |
Fair value reserve – land and buildings € |
Capital reserve € |
Accumulated losses € |
Total € |
|
|---|---|---|---|---|---|---|
| Balance as at 1 January 2022 Net profit for the year |
4.592.196 - |
98.673 - |
2.693.874 - |
23.235 - |
(6.650.761) 194.860 |
757.217 194.860 |
| Transactions with shareholders Contribution for defence and NHS in deemed dividend |
||||||
| distribution | - | - | - | - | (6.121) | (6.121) |
| Changes in revaluation of land and buildings |
- | - | (7.209) | - | 38.989 | 31.780 |
| Balance as at 31 December 2022 / 1 January 2023 |
4.592.196 | 98.673 | 2.686.665 | 23.235 | (6.423.033) | 977.736 |
| Net profit for the year | - | - | - | - | 177.121 | 177.121 |
| Balance as at 31 December 2023 | 4.592.196 | 98.673 | 2.686.665 | 23.235 | (6.245.912) | 1.154.857 |
| 2023 | 2022 | |
|---|---|---|
| € | € | |
| CASH FLOW FROM OPERATING ACTIVITIES | ||
| Profit before taxation | 202.873 | 195.137 |
| Adjustments for: | ||
| Depreciation of property, plant and equipment |
91.892 | 101.421 |
| Exchange difference from conversion of non-current assets in | ||
| foreign currency | - | 13.224 |
| Depreciation of computer programmes | 2.378 | 3.112 |
| Gain from changes in the fair value due to price changes | - | (223.775) |
| Charge for impairment in the value of financial assets at fair |
||
| value through profit and loss |
- | 276 |
| Debit interest | 75.806 | 55.136 |
| 372.949 | 144.531 | |
| Changes in working capital: | ||
| (Increase)/decrease in inventories | (71.415) | 8.131 |
| Decrease/(increase) in receivables |
33.897 | (8.564) |
| Decrease in trade and other creditors | (71.842) | (23.116) |
| Cash from operations | 263.589 | 120.982 |
| Tax paid | (326) | (1.602) |
| Net cash from operations | 263.263 | 119.380 |
| CASH FLOW FROM INVESTING ACTIVITIES | ||
| Payment for acquisition of intangible assets | - | (3.250) |
| Payment for acquisition of property, plant and equipment |
(50.860) | 152.739 |
| Net cash (for)/from investing activities |
(50.860) | 149.489 |
| CASH FLOW FROM FINANCING ACTIVITIES | ||
| Loan repayments | (103.475) | (131.545) |
| Repayments of finance lease liabilities | (7.745) | (2.551) |
| Payment of interest | (75.806) | (55.136) |
| Payment of defence contribution in deemed dividend | ||
| distribution | - | (6.121) |
| Net cash for financing activities | (187.026) | (195.353) |
| Net increase in cash and cash equivalents |
25.377 | 73.516 |
| Cash and cash equivalents at beginning of year | (824.330) | (897.846) |
| Cash and cash equivalents at end of year |
(798.953) | (824.330) |
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