Page 128 - One report AUCT2024_Eng
P. 128
Part 3
Financial Statements
Union Auction Public Company Limited
Statement of cash flows
For the year ended 31 December 2024
Cash flows from operating activities
Profit before tax
Adjustments to reconcile profit before tax to
Note
2024
(Unit: Baht)
2023
436,051,813
141,809,276 219,562 - (798,725) 140,000 (60,143) 1,302,962 (5,455,099) 24,197,168
597,406,814
44,156,153 (4,512,781) (270,769)
149,693,331 (59,283) 7,331,106 793,744,571 (83,875,731) 709,868,840
463,251,095
161,578,122
(2,454,304)
2,315,732
(239,821)
42,439
(119,917)
(1,452,301)
(8,431,274)
26,989,281
641,479,052
(52,517,422)
(9,155,391)
(772,373)
(77,698,376)
27,601
5,063,972
506,427,063
(101,390,453)
405,036,610
net cash provided by (paid from) operating activities:
Depreciation and amortisation
Increase (decrease) in allowance for expected credit losses 8 Write-off of other receivable
Gain on disposal of equipment
Loss on write-off of intangible assets
Gain on write-off of right-of-use assets
Provision for long-term employee benefits
Interest income
Finance cost
Profit from operating activities before changes in operating assets and liabilities
Operating assets (increase) decrease Trade and other receivables
Other current assets
Other non-current financial assets
Operating liabilities increase (decrease) Trade and other payables
Other current liabilities
Other non-current financial liabilities
Cash flows from operating activities Cash paid for corporate income tax
Net cash flows from operating activities
The accompanying notes are an integral part of the financial statements.
128
Annual Registration Statement / Annual Report 2024
(Form 56-1 One Report)