B R I S C O E

R.T. BRISCOE (NIGERIA) PLC

UNAUDITED CONDENSED FINANCIAL STATEMENTS

FOR THE QUARTER ENDED 31, MARCH 2022

R.T BRISCOE (NIGERIA) PLC

Consolidated statements of profit or loss and other comprehensive income For the quarter ended 31 March 2022

3 months to

3 months to

%

March 2022

March 2021

Change

N'000

N'000

Revenue

3,324,238

1,125,119

195%

Cost of sales

(2,801,109)

(826,169)

239%

Gross profit

523,128

298,950

75%

Other income

23,009

27,307

-16%

Selling and distribution expenses

(9,864)

(25,541)

-61%

Administrative expenses

(330,139)

(291,104)

13%

Results from operating activities

206,134

9,613

2044%

Finance costs

(759,162)

(508,088)

49%

Net finance costs

(759,162)

(508,088)

49.4%

Loss before income tax

(553,028)

(498,475)

10.9%

Income tax expense

-

-

(Loss)/Profit for the period

(553,028)

(498,475)

10.9%

Total comprehensive (loss)/profit

(553,028)

(498,475)

10.9%

Attributable to:

Owners of the Company

(553,028)

(498,475)

10.9%

(553,028)

(498,475)

10.9%

Earnings per share

Basic & Diluted (Kobo)

(47)

(42)

10.9%

R.T BRISCOE (NIGERIA) PLC

Consolidated statements of financial position

As at 31 March 2022

%

31-Mar-22

31-Dec-21

Change

Non-current assets

N'000

N'000

Property, plant and equipment

4,686,240

4,696,998

0%

Investment properties

91,611

91,611

0%

Intangible assets

401

458

-13%

Defined Benefit Plan

3,752

7,331

-49%

Other receivables

511,152

511,152

0%

Total non-current assets

5,293,156

5,307,550

0%

Current assets

Inventories

810,296

676,008

20%

Trade and other receivables

2,148,020

2,861,297

-25%

Other current Assets

495,480

113,956

0%

Cash and Cash Equivalents

1,336,784

235,879

467%

Total current assets

4,790,581

3,887,140

23%

Total assets

10,083,737

9,194,690

10%

Current liabilities

Trade and other payables

3,447,309

2,598,564

33%

Current tax liabilities

83,348

73,204

14%

Bank overdraft

16,820,269

15,855,347

6%

Deferred income

2,382,801

2,362,392

1%

Borrowings

447,811

849,888

-47%

Total current liabilities

23,181,538

21,739,395

7%

Net current liabilities

(18,390,957)

(17,852,255)

3%

Non-current Liabilities

Deferred tax liabilities

36,547

36,615

0%

Employee Benefits

-

Total non-current liabities

36,547

36,615

0%

Net liabilities

(13,134,348)

(12,581,320)

4%

Equity

Share capital

588,177

588,177

0%

Share premium account

409,862

409,862

0%

Revaluation Reserve

3,174,364

3,174,364

0%

Retained earnings

(17,306,751)

(16,753,723)

3%

Attributable to:

Owners of the Company

(13,134,348)

(12,581,320)

4%

Total equity

(13,134,348)

(12,581,320)

These financial statements were approved by the Board of Directors on 9 June, 2022 and signed on its behalf by the Directors listed below:

Sir. Sunday Nnamdi Nwosu (Chairman) FRC/2014/IODN/00000006788

Mr. Oluseyi Onajide (Managing Director) FRC/2013/ICAN/2194

Additionally certified by:

Mr. Jubril Shittu (Chief Financial Officer) FRC/2013/ICAN/00000000728

R.T BRISCOE (NIGERIA) PLC

Consolidated statements of cash flows

For the quarter ended 31 March 2022

31-Mar-22

31-Dec-21

N '000

N '000

Cash flows from operating activities

Loss for the year

(553,028)

(2,298,747)

Adjustments for:

Interest Income

-

-

Interest on loan

-

-

Finance income

-

(25,383)

Adjustment for impairment of trade receivable

-

27,900

Finance expense

-

68,343

Employee benefit charge

-

9,451

Depreciation

12,678

51,205

Adjustments on depreciation

(6,440)

Amortisation of Intangible assets

-

899

Amortisation of Investment properties

505

2,018

Return on planned asset

-

(3,399)

Profit on disposal of investment property

-

(33,692)

Loss/(gain) on sale of PPE

(9,351)

(9,401)

Income Tax

31,129

(549,196)

(2,186,117)

Changes in:

Inventories

(134,288)

(67,731)

Trade and other receivables

713,277

(716,544)

Prepayments

(381,524)

(75,494)

Trade and other payables

865,858

882,393

Increase in deferred income

20,409

2,362,392

Cash generated from (used in) operating activities

534,535

198,899

Defined employee benefits paid

-

(4,035)

Tax paid

-

(17,541)

Net Cash generated from (used in) operating activities

534,535

177,323

Cash flows from investing activities

Proceeds from sale of property, plant and equipment

-

105,348

Proceeds from sale of investment property

-

187,264

Acquisition of property, plant and equipment

3,525

(26,948)

Net cash used in investing activities

3,525

265,664

Cash flows from financing activities

Interest on loans

-

(68,343)

Interest income

-

25,383

Proceeds from LPO financiang facility

-

363,758

Net decrease in borrowings during the year

-

-

Net cash used in financing activities

-

320,798

Net decrease in cash and cash equivalents

538,060

763,785

Cash and cash equivalents at 1 January

(15,619,468)

(16,383,253)

Cash and cash equivalents at 31 March

(15,081,408)

(15,619,468)

R.T BRISCOE (NIGERIA) PLC

Consolidated statement of changes in equity

For the quarter ended 31 March 2022

Attributable to

Non

Share

Share

Revaluation

Retained

Owners of the

Controlling

Capital

premium

reserve

Earnings

company

Interest

Total Equity

N'000

N'000

N'000

N'000

N'000

N'000

N'000

Balance at 1 January 2021

588,177

409,862

3,174,364

(14,451,078)

(10,278,675)

-

(10,278,675)

Loss for the period

-

-

-

(2,298,747)

(2,298,747)

-

(2,298,747)

Re-measurement loss on defined benefit plans

-

-

-

Other comprehensive income

-

-

-

(3,898)

(3,898)

-

(3,898)

Total comprehensive income for the period

-

-

-

(2,302,645)

(2,302,645)

-

(2,302,645)

Transactions with owners, recorded directly in

equity

-

-

-

-

-

-

-

Acquisition of NCI without a change in control

-

-

-

-

-

-

-

Balance at 31 December 2021

588,177

409,862

3,174,364

(16,753,723)

(12,581,320)

-

(12,581,320)

Balance at 1 January 2022

588,177

409,862

3,174,364

(16,753,723)

(12,581,320)

-

(12,581,320)

Loss for the period

-

-

-

(553,028)

(553,028)

-

(553,028)

Other comprehensive income for the period

-

-

-

-

-

-

-

Total comprehensive loss

-

-

-

(553,028)

(553,028)

-

(553,028)

Issue of Share capital

-

-

-

-

-

-

-

Share based payments

-

-

-

-

-

-

-

Deferred tax

-

-

-

-

-

-

-

Transfer for bonus issue

-

-

-

-

-

-

-

Balance at 31 March 2022

588,177

409,862

3,174,364

(17,306,751)

(13,134,348)

-

(13,134,348)

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R.T. Briscoe (Nigeria) plc published this content on 01 July 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 01 July 2022 08:42:11 UTC.