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20241030_CHEM_Tanggapan atas Permintaan Penjelasan Bursa_31750724_lamp2.pdf

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Page 1
PT CHEMSTAR INDONESIA Tbk
LAPORAN PROYEKSI ARUS KAS
Untuk Tahun yang Berakhir pada Tanggal-tanggal 31 Desember 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)



                                                    2024                2023
ARUS KAS DARI AKTIVITAS                                                                              CASH FLOWS FROM
OPERASI                                                                                         OPERATING ACTIVITIES
Penerimaan dari pelanggan                       199.891.438.931    103.334.889.477                 Receipt from customers
Pembayaran kepada pemasok                      (157.845.607.018)   (87.000.247.220)                  Payments to suppliers
Pembayaran kepada karyawan                      (23.306.177.584)   (17.059.270.481)                 Payments to employee
Pembayaran untuk beban operasi                  (10.660.797.792)    (6.106.965.027)        Payments for operating expenses
Penerimaan (pembayaran) lainnya                   1.144.038.141     (1.335.058.712)             Others receipt (payments)
Penerimaan dari restitusi pajak                     625.107.047                  -                 Receipt from tax refund
Pembayaran pajak penghasilan                     (2.152.801.030)    (2.502.050.384)                   Income tax expenses
Pembayaran beban bunga                           (2.082.798.430)    (1.556.019.330)                       Interest expenses
Arus Kas Neto Digunakan untuk                                                                        Net Cash Flows Used in
  Aktivitas Operasi                               5.612.402.265    (12.224.721.677)                    Operating Activities

ARUS KAS DARI AKTIVITAS                                                                               CASH FLOWS FROM
INVESTASI                                                                                          INVESTING ACTIVITIES
Perolehan aset tetap                             (2.369.067.107)     (2.452.243.500)               Purchases of fixed assets

ARUS KAS DARI AKTIVITAS                                                                                CASH FLOW FROM
PENDANAAN                                                                                         FINANCING ACTIVITIES
Pembayaran pinjaman bank                                                                       Pembayaran pinjaman bank
  jangka pendek                                               -                   -                       jangka pendek
Penerimaan dari pelaksanaan waran                             -           6.558.800      Proceeds from exercise of warrants
Pembayaran dividen                                  (64.976.399)     (2.064.786.407)                  Payment of dividends
Pembayaran liabilitas sewa                       (2.200.000.000)                  -             Payment of lease liabilities
Pembayaran utang pembiayaan                                                                 Payment of consumer financing
  konsumen                                       (1.176.553.665)     (1.463.117.025)                            liabilities
Arus Kas Neto Diperoleh dari                                                                    Net Cash Flows Provided by
  (Digunakan untuk) Aktivitas Pendanaan          (3.441.530.064)     (3.521.344.632)          (Used in) Financing Activites

KENAIKAN (PENURUNAN) NETO                                                                 NET INCREASE (DECREASE) IN
KAS DAN BANK                                                                                        CASH AND BANKS
DAN CERUKAN                                        (198.194.906)   (18.198.309.809)                  AND OVERDRAFT

KAS DAN BANK                                                                                          CASH AND BANKS
DAN CERUKAN                                                                                            AND OVERDRAFT
PADA AWAL TAHUN                                  (5.249.884.729)    12.948.425.080           AT BEGINNING OF THE YEAR
KAS DAN BANK                                                                                            CASH AND BANKS
DAN CERUKAN                                                                                              AND OVERDRAFT
PADA AKHIR TAHUN                                 (5.448.079.635)     (5.249.884.729)                 AT END OF THE YEAR




Kas dan setara kas dan cerukan terdiri dari:                                    Kas dan setara kas dan cerukan terdiri dari:

                                                   2024                2023
Kas dan bank                                    11.687.601.967       5.611.028.352                        Cash and banks
Cerukan                                        (17.135.681.602)    (10.860.913.081)                             Overdraft
Total                                           (5.448.079.635)     (5.249.884.729)                                   Total

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