Page 26 - GTBANK GAMBIA ANNUAL REPORT 2021
P. 26

Statement of Cash flows Continued.
                                   st
               For the year ended 31 December 2021


                  Cash flows from investing activities

                   Purchase of right-of-use assets                                                         (306)

                   Purchase of property and equipment                                (50,472)          (21,150)
                   Proceeds from the sale of property and equipment                   10,313              -

                   Purchase of intangible assets                                      (2,187)          (10,127)
                   Net cash used in investing activities                             (42,346)          (31,583)



                   Cash flows from financing activities

                   Dividends paid to owners                                          (177,049)         (77,855)
                  Repayment of principal portion of lease liabilities                    -                -


                   Net cash provided by financing activities                         (177,049)         (77,855)



                   Net decrease in cash and cash equivalents                         782,064          (136,289)

                   Cash and cash equivalents at beginning of year                    854,629           990,917

                   Effect of exchange rate fluctuations on cash held                     -                -
                   Cash and cash equivalents at end of year                          1,636,693         854,629






                         The accompanying notes on are an integral part of these financial statements.













     Annual Report 2021
                 www.gtbankgambia.com                                     Guaranty Trust Bank Gambia Limited    26
   21   22   23   24   25   26   27   28   29   30   31