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Page 1
                     PT SEJAHTERARAYA ANUGRAHJAYA TBK
                     Penjelasan kenaikan (penurunan) >20%

LAPORAN POSISI KEUANGAN                                            31 MARET 2025        31 DESEMBER 2024                VARIANS                                  EXPLANATION
                                                                                                                                            Penerimaan uang atas penerbitan saham baru dan surat
Kas dan setara kas                                                  2,172,378,901,846      277,208,366,981     1,895,170,534,865    683.66%
                                                                                                                                            utang
Kas yang dibatasi penggunaannya                                         6,534,917,616         6,531,639,541            3,278,075      0.05% N/A
Piutang usaha
  Piutang usaha - Pihak berelasi                                       9,417,160,510         9,438,376,010           (21,215,500)    -0.22% N/A
  Piutang usaha - Pihak ketiga                                       446,826,864,240       414,860,157,512        31,966,706,728      7.71% N/A
Piutang lain-lain
  Piutang lain-lain - Pihak berelasi                                              -              29,949,310          (29,949,310) -100.00% Penerimaan pembayaran selama tahun berjalan
  Piutang lain-lain - Pihak ketiga                                     10,052,336,081        34,304,279,102      (24,251,943,021) -70.70% Penerimaan pembayaran selama tahun berjalan
Persediaan                                                             64,690,730,448        61,315,807,348        3,374,923,100     5.50% N/A
Uang muka                                                              11,252,708,158        16,298,517,160       (5,045,809,002) -30.96% Realisasi selama tahun berjalan
Biaya dibayar dimuka                                                   45,052,962,867        11,257,930,381       33,795,032,486 300.19% Peningkatan biaya dibayar dimuka atas kegiatan operasional
Pajak dibayar dimuka                                                    2,957,525,214         1,557,156,892        1,400,368,322    89.93% Cicilan pajak penghasilan badan NKM
Total aset lancar                                                  2,769,164,106,980       832,802,180,237    1,936,361,926,743
Uang muka pembelian aset tetap                                        115,504,798,777        49,432,580,576       66,072,218,201 133.66% Uang muka pembelian tanah di Surabaya
Aset tetap, bersih                                                  4,147,750,611,719     4,176,871,478,845      (29,120,867,126)   -0.70% N/A
Properti investasi                                                     40,010,000,000        40,010,000,000                  -       0.00% N/A
Aset hak guna, bersih                                                 192,534,660,597       199,857,699,549       (7,323,038,952)   -3.66% N/A
Aset tak berwujud, bersih                                              11,457,356,393        11,615,833,657         (158,477,264)   -1.36% N/A
Taksiran tagihan pajak penghasilan                                     11,645,064,737        11,645,064,737                  -       0.00% N/A
Aset pajak tangguhan                                                  134,107,735,508       121,447,327,633       12,660,407,875    10.42% N/A
Goodwill                                                              237,770,574,237       237,770,574,237                  -       0.00% N/A
Aset tidak lancar lain-lain                                             1,563,445,600         1,568,941,822           (5,496,222)   -0.35% N/A
Total aset tidak lancar                                            4,892,344,247,568     4,850,219,501,056       42,124,746,512
Total aset                                                         7,661,508,354,548     5,683,021,681,293    1,978,486,673,255
Utang usaha                                                           194,301,826,054       156,193,665,820       38,108,160,234    24.40%
Utang lain-lain                                                     1,129,282,820,596     1,703,694,699,158     (574,411,878,562) -33.72% Penurunan karena ada pembayaran utang lain-lain pihak
Akrual                                                                141,215,104,648       166,187,642,327      (24,972,537,679) -15.03% N/A
                                                                                                                                           Meningkat karena perhitungan CIT NKM untuk periode Q1,
Utang pajak                                                           29,644,088,460        15,732,735,266        13,911,353,194    88.42% ditambah masih belum dibayarnya utang pajak Desember
                                                                                                                                           2024
Pinjaman bank jangka pendek                                           28,334,537,243        29,168,861,016          (834,323,773)   -2.86% N/A
Pendapatan diterima dimuka                                            14,093,098,165        11,578,768,331         2,514,329,834    21.72% Penerimaan pembayaran sewa dibayar dimuka dari tenant
Bagian lancar atas liabilitas jangka panjang
  Pinjaman bank jangka panjang - Bagian jangka pendek                 77,475,696,200        78,392,974,114          (917,277,914)    -1.17% N/A
  Pinjaman jangka panjang - Bagian jangka pendek                      30,102,885,226        27,093,174,660         3,009,710,566     11.11% N/A
  Utang obligasi - Bagian jangka pendek                              407,900,000,000       407,900,000,000                   -        0.00% N/A
                                                                                                                                            Pembayaran atas tagihan utang pembiayaan selama tahun
Utang pembiayaan - Bagian jangka pendek                                  274,301,840           430,542,334          (156,240,494)   -36.29%
                                                                                                                                            berjalan
Liabilitas sewa - Bagian jangka pendek                                    686,659,473           671,455,845           15,203,628      2.26% N/A
Total liabilitas jangka pendek                                     2,053,311,017,905     2,597,044,518,871     (543,733,500,966)
Liabilitas jangka panjang setelah dikurangi bagian jangka pendek
Page 2
                   PT SEJAHTERARAYA ANUGRAHJAYA TBK
                   Penjelasan kenaikan (penurunan) >20%

LAPORAN POSISI KEUANGAN                                   31 MARET 2025         31 DESEMBER 2024               VARIANS                                       EXPLANATION
  Pinjaman bank jangka panjang - Bagian jangka panjang       184,372,014,770        166,877,778,929      17,494,235,841     10.48% N/A
  Pinjaman jangka panjang - Bagian jangka panjang            408,701,538,332        417,535,022,810      (8,833,484,478)    -2.12% N/A
  Utang obligasi - Bagian jangka panjang                     538,904,754,785        538,467,198,431         437,556,354      0.08% N/A
Surat utang                                                2,823,549,419,946                    -     2,823,549,419,946    100.00% Penerbitan surat utang ke Bain Capital
Liabilitas sewa - Bagian jangka panjang                        2,604,960,091          2,604,960,091                 -        0.00% N/A
                                                                                                                                   Perhitungan pajak tangguhan untuk periode Q1 2025 dimana
Liabilitas pajak tangguhan                                    22,700,309,742         16,172,511,016       6,527,798,726     40.36%
                                                                                                                                   terdapat utilisasi rugi fiskal
Liabilitas imbalan pasca kerja                               117,186,333,377        111,013,920,519      6,172,412,858       5.56% N/A
Total liabilitas jangka panjang                           4,098,019,331,043      1,252,671,391,796 2,845,347,939,247
Total liabilitas                                          6,151,330,348,948      3,849,715,910,667 2,301,614,438,281
Modal saham                                                1,223,895,999,000      1,200,070,544,500     23,825,454,500       1.99% N/A
Tambahan modal disetor                                       806,383,085,960      1,124,816,856,453   (318,433,770,493)    -28.31% Merupakan efek transaksi dengan Bain Capital
Pengukuran kembali imbalan pasca kerja                        48,542,806,078         48,542,806,078                -         0.00% N/A
Akumulasi kerugian                                          (570,246,531,705)      (541,697,985,119)   (28,548,546,586)      5.27% N/A
Kepentingan nonpengendali                                      1,602,646,267          1,573,548,714         29,097,553       1.85% N/A
Jumlah ekuitas                                            1,510,178,005,600      1,833,305,770,626   (323,127,765,026)
Jumlah liabilitas dan ekuitas                             7,661,508,354,548      5,683,021,681,293 1,978,486,673,255

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