Annual Report 2018-file - page 272

Lampiran V
Attachment V
PT VOKSEL ELECTRIC Tbk
(ENTITAS INDUK SAJA)
LAPORAN ARUS KAS
Untuk tahun yang berakhir pada tanggal
31 Desember 2018
(Disajikan dalam Rupiah)
PT VOKSEL ELECTRIC Tbk
(PARENT ENTITY ONLY)
STATEMENT OF CASH FLOW
For the year ended December 31, 2018
(Expressed in Rupiah)
103
2018
2017
CASH FLOW FROM
ARUS KAS DARI AKTIVITAS OPERASI
OPERATING ACTIVITIES
Penerimaan dari pelanggan dan lainnya
2.505.997.738.493 2.177.666.619.286
Receipt from customers and others
Pembayaran kas kepada pemasok,
Cash paid to suppliers,
karyawan dan lainnya
(2.233.870.021.401) (1.894.516.634.189)
employee and others
Kas dihasilkan dari aktivitas operasi
272.127.717.092 283.149.985.097
Cash generated from operating activities
Penerimaan dari pendapatan bunga
880.679.849
480.788.532
Receipts from interest income
Penerimaan dari restitusi pajak
75.484.876.059 55.819.301.082
Receipt from claims for tax refund
Pembayaran pajak - bersih
(118.672.892.760) (123.951.962.900)
Payment of taxes - net
Pembayaran beban bunga
(45.682.988.403) (40.792.466.698)
Payment of interest expense
Pembayaran pesangon
(693.089.058) (4.153.020.458)
Payment of benefit paid
Pembayaran untuk kegiatan operasi
Payment for other operating
lainnya - bersih
(116.068.947.763) (121.046.586.759)
activities - net
Kas bersih diperoleh dari aktivitas operasi
67.375.355.016 49.506.037.896
Net cash provide by operating activities
CASH FLOW FROM
ARUS KAS DARI AKTIVITAS INVESTASI
INVESTING ACTIVITIES
Penerimaan dari penjualan aset tetap
200.000.000
434.845.180
Proceeds from sale of fixed assets
Payment of investment in
Pembayaran penyertaan saham
(20.067.283.000)
-
share of stock
Pembelian aset tetap
(134.389.016.009) (31.143.875.041)
Purchase of fixed assets
Kas bersih digunakan untuk
aktivitas investasi
(154.256.299.009) (30.709.029.861)
Net cash used in investing activities
CASH FLOW FROM
ARUS KAS DARI AKTIVITAS PENDANAAN
FINANCING ACTIVITIES
Penambahan dana yang terbatas
penggunaannya
(15.123.788.362) (7.959.138.578)
Increase decrease in restricted fund
Penerimaan dari utang bank - bersih
160.412.605.983 80.352.345.715
Receipt from bank loans
- net
Penerimaan dari transaksi jual dan
Receipt from sale and leaseback
sewa kembali - bersih
18.407.694.303
-
transaction
- net
Pembayaran dividen
- (16.516.164.800)
Payment of dividend
Kas bersih diperoleh dari aktivitas
Net cash provide by financing
pendanaan
163.696.511.924 55.877.042.337
activities
KENAIKAN BERSIH KAS DAN
NET INCREASE IN CASH
SETARA KAS
76.815.567.931 74.674.050.372
AND CASH EQUIVALENT
DAMPAK PERUBAHAN KURS VALUTA
FOREIGN EXCHANGE EFFECT ON
TERHADAP KAS DAN SETARA KAS
(5.780.616.320) (3.835.113.863)
CASH AND CASH EQUIVALENT
CASH AND CASH EQUIVALENT
KAS DAN SETARA KAS AWAL TAHUN
114.515.317.167 43.676.380.658
AT BEGINNING OF YEAR
CASH AND CASH EQUIVALENT
KAS DAN SETARA KAS AKHIR TAHUN
185.550.268.778 114.515.317.167
AT END OF YEAR
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