Mesyuarat Pertama Penggal Keenam Dewan Negeri Selangor Tahun 2018

26 Mac 2018 hingga 28 Mac 2018

129) PRESTASI KEWANGAN UNISEL

Tahun: 2018

Sesi: 1

Isu: Kewangan & Ekonomi

Adun: Y.B. Dato' Mohd Shamsudin Bin Lias

Kategori: Bertulis

Sub Soalan

  1. Nyatakan prestasi kewangan yang merangkumi penyata pendapatan, penyata ekuiti pemilik dan penyata aliran tunai dari 2015-2017.

    Penyata Pendapatan 2015-2017

    PENDIDIKAN INDUSTRI YS SDN BHD (483121-H)

     

    PENYATA PENDAPATAN KOMPREHENSIF BAGI TAHUN BERAKHIR 31 DISEMBER

    UNIVERSITI SELANGOR

    (UNISEL)

      DERAF
    2015 2016 2017
        RM RM
    Pendapatan      
    Pendapatan Yuran 73,316,024 80,205,605 79,778,496
    Pendapatan Operasi Lain 1,524,753 3,501,124 2,244,621
    Geran Kerajaan Negeri 19,114,678 25,117,378 23,038,374
     

    Jumlah Pendapatan

     

    93,955,455

     

    108,824,107

     

    105,061,491

    Kos Operasi      
    Kos Penggajian 62,783,322 57,100,477 56,385,002
    Susut Nilai 10,767,913 13,072,882 13,343,705
    Kos Operasi Lain 21,703,898 22,368,794 23,030,101
    Faedah BaIDS 6,470,000 5,920,000 5,072,500
    Cukai Input GST 1,098,221 1,074,357 1,251,300
     

    Jumlah Kos Operasi

     

    102,823,354

     

    99,536,510

     

    99,082,608

    Keuntungan / (Kerugian)      
    Dari Operasi (8,867,899) 9,287,597 5,978,883
    Kos Kewangan 7,697,100 1,986,603 1,986,603
     

    Keuntungan / (Kerugian)

         
    Sebelum Cukai (16,564,999) 7,300,994 3,992,280
    Cukai      
     

    Keuntungan / (Kerugian)

     

    (16,564,999)

     

    7,300,994

     

    3,992,280

     

    1. Penyata Ekuiti

     

    PENDIDIKAN INDUSTRI YS SDN BHD (483121-H)

     

    PENYATA EKUITI BERAKHIR PADA 31 DISEMBER

    UNIVERSITI SELANGOR

    (UNISEL)

      DRAFT
    2015 2016 2017
      RM RM RM
    Modal Saham 60,643,694 60,643,694 60,643,694
    Rizab 127,651,636 127,651,636 127,651,636
    Kerugian Terkumpul (121,806,650) (114,505,655) (110,461,285)
    Baki Pada 31 Disember 66,488,680 73,789,675 77,834,045
           
    • Penyata Aliran Tunai 2015-2017
    PENDIDIKAN INDUSTRI YS SDN BHD (483121-H)

     

    CASH FLOWS STATEMENTS FOR THE YEAR ENDED 31 DECEMBER

    UNIVERSITI SELANGOR

    (UNISEL)

      DRAFT
    2015 2016 2017
      RM RM RM
    Cash Flows From Operating Activities      
    Gain/Loss before taxation (16,564,999) 7,300,994 3,992,280
    Adjustments for :      
    Depn. and Amortisation PPE 10,767,913 13,072,882 13,343,705
    Amortisation of government Grant (19,114,678) (25,117,378) (23,038,374)
    Interest Expense 14,167,100 7,906,603 7,059,103
    Interest Income (359,059) (1,022,939) (635,175)
    Loss from disposal of subsidiary 2
    Impairment loss on amount due from former      
    subsidiary 12,003
    Gain of PPE writen off (699) (16,500)
    OPERATING GAIN/LOSS BEFORE WORKING      
    CAPITAL CHANGES (11,092,417) 2,140,161 705,038
    (Increase)/Decrease in receivables (58,851,450) 13,103,375 (17,333,650)
    (Decrease)/Increase in payables 70,512,415 57,732,087 36,299,126
    Increase in amount due frm holding corp (475,456)    
    Increase/(Decrease) in amount due to State 8,321,332 1,986,604 42,743,335
    CASH GENERATED FROM OPERATIONS 8,414,424 74,962,227 62,413,849
    Tax Paid (1,021,690) 2,322,016 (5,057,621)
    Interest Paid (14,167,100) (7,906,603) (7,059,103)
    NET CASH (USED IN)/GENERATED FROM      
    OPERATING ACTIVITIES (6,774,366) 69,377,640 50,297,125
    Cash Flows From Investing Activities      
    Purchase of property, plant and equipment (1,221,099) (6,799,964) (33,076,595)
    Interest Received 359,059 1,022,939 635,175
    NET CASH USED IN INVESTING ACTIVITIES
    (862,040) (5,777,025) (32,441,420)
     

    Cash Flows From Financing Activities

         
    Repayments of hire purchase (18,980)
    Repayments of long term loans (10,000,000) (15,000,000) (15,000,000)
    NET CASH USED IN FINANCING ACTIVITIES (10,018,980) (15,000,000) (15,000,000)
     

    NET (DECREASE)/INCREASE IN CASH AND CASH

         
    EQUIVALENTS AT 1 JANUARY (17,655,386) 48,600,615 2,855,706
    CASH AND CASH EQUIVALENTS AT 1 JANUARY 21,390,504 3,735,118 52,335,734
    CASH AND CASH EQUIVALENTS AT 31
     

    3,735,118

     

    52,335,734

     

    55,191,439

    DECEMBER  

Lampiran

Tiada Lampiran.