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Papoutsanis S.A.

Annual / Quarterly Financial Statement Mar 20, 2017

2711_10-k_2017-03-20_5eb75f35-f8e5-4ddc-b80c-8bc5f78b540e.pdf

Annual / Quarterly Financial Statement

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PAPOUTSANIS S.A.

INDUSTRIAL AND COMMERCIAL SOCIETE ANONYME OF CONSUMER PRODUCTS

GECR Nr 121914222000

Registered Office: 71th Km ATHENS - LAMIA NATIONAL ROAD, HALKIDA

DATA & INFORMATION FOR THE PERIOD FROM 1 JANUARY 2016 TO 31 DECEMBER 2016

(according to the Decision 4/507/28.4.2009 of the board of Directors of the Hellenic Capital Market Committee)

AMOUNTS REPORTED IN EURO

Societes Anonymes and Credit 01.01- 01.01-
• Vice Chairman and Chief Executive Officer - executive Gross Profit/(Losses) 4.974.128 4.029.269
executive member: Menelaos Tassopoulos Earnings before taxes, interest and investing results (EBIT) 514.974 250.807
• executive member: Mary Iskalatian Profits/(Losses) before tax 119.727 54.592
• non-executive member: George Minoudis Profits/(Losses) after tax (A) (50.356) (414.970)
• independent, non-executive member: Christos Georgalis Other total income after tax (B) 10.281 (987.840)
• independent, non-executive member: Dimitrios Papoutsanis
SOL S.A. - ASSOCIATED CERTIFIED PUBLIC ACCOUNTANTS Earnings before taxes, interest, depreciation amortization and
AUDITORS Crowe Horwath International investing results 1.832.403 1.547.571
ASSETS 31.12.2016 31.12.2015 01.01- 01.01-
Owner - used tangible assets 24.944.078 24.237.259 31.12.2016 31.12.2015
Investments in real estate property 235.000 235.000 Total Equity at the beginning of period 17.648.878 19.051.688
Intangible assets 102.342 109.816 (01.01.2016 and 01.01.2015 respectively)
Other non-current assets 129.352 206.172 Compehensive total income after tax (40.075) (1.402.810)
Inventories 3.398.997 2.869.476 Total Equity at the end of the period (31.12.2016 and 31.12.2015
Trade receivables 4.409.749 3.439.615 respectively) 17.608.803 17.648.878
Checks receivables 873.021 1.721.428
Other current assets 1.018.404 1.955.928
Total Assets 35.110.942 34.774.694 DATA ON THE STATMENT OF CASH FLOW (INDIRECT METHOD)
EQUITY 01.01- 01.01-
Share Capital 15.747.184 15.747.184 31.12.2016 31.12.2015
Other equity elements 1.861.619 1.901.694 OPERATING ACTIVITIES
Total Equity (a) 17.608.803 17.648.878 Profits before tax 119.727 54.592
Plus / (minus) adjustments for:
LIABILITIES Depreciations 1.317.429 1.296.764
Long-term borrowings 4.389.906 4.505.800 Provisions 243.798 (90.212)
Provisions - other long term liabilities 5.168.905 5.066.806 Depreciation of grants (147.469) (360.145)
Short term borrowings 4.364.561 4.072.622 (Revenues)/expenses of investments 3.450 5.246
Other short term liabilities 3.578.766 3.480.589 Finance cost (net) 542.716 556.360
Total liabilities (b) 17.502.139 17.125.816 2.079.651 1.462.605
Plus/Less adjustments for changes of working capital or related to
operating activities:
Total Liabilities and Equity (a) + (b) 35.110.942 34.774.694 Decrease/(Increase) of inventories (529.520) 636.606
Competent public authority - Prefecture: Ministry of Development - General Commerce Secretariat - Department of
Societes Anonymes and Credit
01.01- 01.01-
Web address: www.papoutsanis.gr 31.12.2016 31.12.2015
Composition of the Board of Directors: • Chairman - executive member: George Gatzaros Turnover 18.032.127 15.614.524
• Vice Chairman and Chief Executive Officer - executive Gross Profit/(Losses) 4.974.128 4.029.269
executive member: Menelaos Tassopoulos Earnings before taxes, interest and investing results (EBIT) 514.974 250.807
• executive member: Mary Iskalatian Profits/(Losses) before tax 119.727 54.592
• non-executive member: George Minoudis Profits/(Losses) after tax (A) (50.356) (414.970)
• independent, non-executive member: Christos Georgalis Other total income after tax (B) 10.281 (987.840)
• independent, non-executive member: Dimitrios Papoutsanis
Date of approval of the Financial Statements: 14 March 2017 Comprehensive total income after tax (A) + (B) (40.075) (1.402.810)
Certified Public Accountant Auditor: Anastasia Zirou, Institute of CPA (SOEL) Reg No SOEL15841 Profits/(Losses) after tax per share (0,0010) (0,0082)
SOL S.A. - ASSOCIATED CERTIFIED PUBLIC ACCOUNTANTS Earnings before taxes, interest, depreciation amortization and
Auditing Company: AUDITORS Crowe Horwath International investing results 1.832.403 1.547.571
Type of auditor's review report: With agreeing opinion
DATA ON THE FINANCIAL POSITION STATEMENT DATA ON THE STATEMENT OF CHANGES IN NET EQUITY FOR THE PERIOD
Plus / (minus) adjustments for:
Plus/Less adjustments for changes of working capital or related to
operating activities:
Decrease/(Increase) of claims (324.871) 158.898
(Decrease)/Increase of liabilities (except banks) 45.176 (1.289.849)
Minus:
Interest payable and related expenses paid (549.750) (503.761)
Total of inflows / (outflows) of operational activities(a) 720.686 464.499
Investing Activities
Purchase of tangible and intangible assets (2.190.537) (1.469.827)
Proceeds from sales of tangible and intangible assets 250.583 171.414
Total of inflows / (outflows) of investment activities (b) (1.939.954) (1.298.413)
Financing Activities
Proceeds from issued/taked up loans 3.258.613 8.039.788
Proceeds from grant 48.970 548.754
Proceeds from issued/taked up loans (leasing) 360.300 513.180
Repayments of loans (3.289.960)
Repayment of liabilities from leasing agreements (payments)
Total of inflows / (outflows) of financing Activities (c)
(145.873)
232.049
Total increase/(decrease) of cash and cash equivalents of the period (a)
+ (b) + (c) (987.219)
Cash and cash equivalents at the beginning of the fiscal period
Cash and cash equivalents at the end of fiscal period
1.765.040
777.821
(7.619.562)
(334.086)
1.148.074
314.160
1.450.880
1.765.040

ADDITIONAL DATA INFORMATION

DATA ON THE STATEMENT OF COMREHENSIVE INCOME 1 JANUARY - 31 DECEMBER 2016

The following data and information that are derived from the financial statements aim to provide a general information about the financial position and results of Papoutsanis SA . We advise the reader, before making any investment decision or any other transaction with the Company, to visit the web site of the Company: www.papoutsanis.gr where the financial statements and the audit report of the statutory auditor are posted.

Head of Accounting Department Alexandros Georgiadis

ID. No. ΑΜ 992916 E.C.G. Licence No. 50454/A' Class

Chairman of the Board of Directors

Georgios Gatzaros ID. No. Σ 563348

Managing Director - C.E.O.

Menelaos Tasopoulos

ID. No. AI 597755

Financial Director

Mary Iskalatian

ID. No. AI 132693

  1. The shares of the Company are being traded in the Stock Market of Athens in the main market.

  2. The basic accounting principles that have been followed are the same with the same with those of 31/12/2015.

  3. On the note 5.4.1 of the financial statements reference is made to unaudited fiscal years.

  4. For the disputes subject to litigation or arbitration that may have a significant impact on the financial situation or the operation of the company, reference is made on notes 5.4.1 and 6.28 of the financial statements.

  5. The number of employed personnel on 31/12/2016 was 108 persons, while on 31/12/2015 it was 91 persons.

  6. Notifications of affiliated parties in accordance with IAS 24 (note 6.29 of the financial statements).

in euro 31.12.2016
a) Revenues -
b) Expenses -
c) Transactions and fees of executives and members
of the board.
1.013.548
e) Claims from executives and members of the board.
f) Liabilities to executives and members of the board.
16.403
  1. Other essential information: At the end of the current financial year the company did not own any of its own shares.

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