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GSCC_AnnualReport2013-14_Web.pdf [Downloads]
... 16b 16,500,000 4,000,000 Trade and other receivables 17 5,452,511 5,556,594 Intangible assets 18 65,405 9,861 Accrued ...
11.6_-_Financial_Statements_and_Performance_Statement_for_the_Year_Ending_30_June_2023_.pdf [Downloads]
... 1,485 Amounts used (3 ,308) (2 ,144) (5 ,452) Change in the discounted amount arising because of time and the effect of any change in ...
Item_11.2_-_April_Monthly_Fonancial_Report_.pdf [Downloads]
... Cash and Cash Equivalent 42,985 19,135 19,135 27,722 24,452 33,991 20.9% (77.6%) Receivables 17,338 12,480 15 ...
11.1_October_2022_Monthly_Financial_Report_.pdf [Downloads]
... ! Repayment of interest-bearing loans and borrowings (2 ,762) (2 ,759) (452) (452) (452) 0.0% 0.0% Interest Paid - Lease Liability ( ...
... (2.3%) (5.8%) Represented By Accumulated Surplus 444,291 450,922 452,565 429,463 471,975 470,809 (6.0%) (4.4 ...
... (1.5%) (5.0%) Represented By Accumulated Surplus 444,291 450,922 452,565 422,697 463,513 462,210 (4.0%) (2.5 ...
Item_11.3_-_Financial_Statements_and_Performance_Statement_for_Year_Ended_30_June_2021_.pdf [Downloads]
... 68,607) Proceeds from sale of property, infrastructure, plant and equipment 1,048 452 Proceeds from sale of investments 2,000 22,000 Net cash used in investing activities ...
Item_8.5_Financial_Statements_and_Performance_Statement_for_Year_Ended_30_June_2020_.pdf [Downloads]
... ) (38,203) Proceeds from sale of property, infrastructure, plant and equipment 3.6 452 481 Payments for investments 22,000 (500) Net cash used in investing activities ( ...
... Operating 013 - Grants - Operating 17,385 18,301 20,753 (2 ,452) (13.4%) Grants - Capital 014 - Grants - Capital Capital 26,066 ...
... and other payables - current $ '000 $ '000 Non-statutory payables Trade payables 561 4,452 Prepaid income 29 24 Accrued expenses 11,431 9,259 Other payables 1,965 ...