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SP Revisi LK Q3 2025 - Revisi.pdf

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Page 1
Jakarta, 3 Maret 2026
 Nomor:              009/HVM-CORPSEC/BEI-KEU/II/2026
 Lamp.:              1 berkas
 Perihal:            Revisi atas Laporan Keuangan Triwulan III per 30 September 2025 (“LK TW
                     III 2025”)/ Revision of the Third Quarter Financial Report as of September
                     30, 2025 (“Q3 2025 Financial Report”)


Kepada Yth/ To
PT Bursa Efek Indonesia/ Indonesia Stock Exchange
Gedung Bursa Efek Indonesia/ Indonesia Stock Exchange Building
Tower 1 lantai 6,
Jl. Jendral Sudirman Kav 52-53
Jakarta 12190
U.P/Attn.        I Gede Nyoman Yetna
                 Direktur/Director


Tembusan/CC.
Otoritas Jasa Keuangan/ Financial Services Authority
Gedung Soemitro Djojohadikusumo
Jl. Lapangan Banteng Timur No.2-4
Jakarta Pusat
U.P/Attn: Kepala Eksekutif Pengawas Pasar Modal/ Executive Head of Capital Market Supervision


 Dengan Hormat,                                       Dear Sir/Madam,
 Sehubungan dengan surat dari PT Bursa Efek           With reference to the letter from PT Bursa Efek
 Indonesia (BEI) nomor S-01824/BEI.PP2/02-2026        Indonesia (IDX) number S-01824/BEI. PP2/02-
 tanggal 5 Februari 2026 perihal Permintaan Revisi    2026 dated February 5, 2026, regarding the
 Laporan Keuangan Triwulan III per 30 September       Request for Revision of the Third Quarter
 2025 (“LK TW III 2025”), yang Kami terima melalui    Financial Report as of September 30, 2025
 idxnet.co.id pada tanggal 6 Februari 2026, berikut   (“Q3 2025 Financial Report”), which we
 ini kami sampaikan revisi LK TW III 2025 sebagai     received through idxnet.co.id on February 6,
 berikut:                                             2026, hereby submit the revision of LK TW III
                                                      2025 as follows:
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1.   Koreksi pada Laporan Arus Kas dengan rincian sebagai berikut:/
     Corrections to the Cash Flow Statement with the following details:

      a. Arus kas dari aktivitas investasi sehubungan dengan penyesuaian jumlah Penjualan
         Aset Tetap menjadi Rp739.639.639;
         Cash flow from investing activities related to adjustments in the amount of Fixed Asset
         Sales amounted to IDR739,639,639;
      b. Arus kas dari aktivitas pendanaan sehubungan dengan koreksi pada tambahan modal
         disetor menjadi Rp0.
         Cash flow from financing activities related to corrections to additional paid-in capital
         became Rp0.

2.   Koreksi pada Catatan atas Laporan Keuangan (“CALK”) nomor 7 – Aset Tetap terkait dengan
     penyesuaian keterangan laba penjualan aset tetap menjadi Rp739.639.639.
     Correction to Note to Financial Statements (“CALK”) number 7 – Fixed Assets related to the
     adjustment of the description of profit from the sale of fixed assets to IDR739,639,639.

3.   Koreksi pada CALK nomor 13 – Aset Hak Guna terkait dengan penyajian aset hak guna sewa
     disesuaikan untuk posisi per 30 September 2025 (amortisasi dan penambahan aset hak guna
     sewa apabila ada) menjadi Rp385.858.505.
     Correction to CALK No. 13 – Leasehold Assets related to the presentation of leasehold assets
     adjusted to the position as of September 30, 2025 (amortization and addition of leasehold
     assets, if any) to IDR385,858,505.

4.   Koreksi pada CALK nomor 16 terkait dengan Aset Pajak Tangguhan, dengan mencatatkan
     mutasi aset pajak tangguhan yang berasal dari perbedaan temporer penyusutan aset
     tetap menjadi Rp3.893.515.
     Correction to CALK No. 16 related to Deferred Tax Assets, by recording the mutation of
     deferred tax assets originating from temporary differences in depreciation of fixed assets
     to IDR3,893,515.

5.   Penyesuaian jumlah Aset Kontrak menjadi Rp5.244.226.500 dan Kewajiban Kontrak yang
     sesuai menjadi Rp1.544.044.134 per tanggal 30 September 2025.
     Adjustment of the amount of Contract Assets to IDR5.244.226.500 and the corresponding
     Contract Liabilities to IDR 1,544,044,134 as of September 30, 2025.

6.   Penyesuaian jumlah biaya emisi saham sebesar Rp1,28 miliar dicatat sebagai pengurang
     modal menjadi Rp0.
     The adjustment of the share issuance cost amounting to IDR 1.28 billion was recorded as
     a deduction from capital to IDR0.
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     Perihal ini telah tercatat dalam Laporan Keuangan per 31 Desember 2024 sebagai berikut:
     This matter has been recorded in the Financial Statements as of December 31, 2024 as
     follows:




     Secara detailnya/ as detailed:




7.   Pengungkapan atau penyesuaian lain yang diperoleh oleh hasil assessmen Perseroan
     adalah sebagai berikut:
     Other disclosures or adjustments obtained from the Company's assessment results are as
     follows:
     CALK nomor 11 - Biaya Dibayar Dimuka terkait dengan Ongkos kirim menjadi
     Rp1.285.956.310;
     CALK number 11 - Prepaid expenses related to shipping costs amount to IDR
     1,285,956,310.
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possible org PT Bursa Efek Indonesia p.1 ×3
possible org Otoritas Jasa Keuangan p.1
unresolved org Indonesia Stock Exchange p.1 ×2
unresolved org Financial Services Authority p.1

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