Statement Of Cash Flows [Abstract]

Sitowise Group Oyj - Filing #2160266

Concept 2023-01-01 to
2023-12-31
2022-01-01 to
2022-12-31
Statement of cash flows [abstract]
Cash flows from (used in) operating activities [abstract]
Adjustments for finance income (cost)
4 556 EUR
2 882 EUR
Adjustments for decrease (increase) in trade and other receivables
2 835 EUR
6 424 EUR
Adjustments for increase (decrease) in trade and other payables
2 422 EUR
5 047 EUR
Adjustments for depreciation and amortisation expense and impairment loss (reversal of impairment loss) recognised in profit or loss
11 518 EUR
10 594 EUR
Cash flows from (used in) investing activities [abstract]
Purchase of property, plant and equipment, intangible assets other than goodwill, investment property and other non-current assets
3 904 EUR
3 665 EUR
Cash flows from (used in) financing activities [abstract]
Proceeds from non-current borrowings
0 EUR
24 424 EUR
Repayments of current borrowings
1 072 EUR
2 974 EUR

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