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Financial statement Text extracted BPII

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Page 1
PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA/ AND ITS SUBSIDIARIES


   LAPORAN KEUANGAN KONSOLIDASIAN INTERIM
     PADA TANGGAL 30 SEPTEMBER 2024 DAN
    PERIODE SEMBILAN BULAN YANG BERAKHIR
           PADA TANGGAL TERSEBUT


  INTERIM CONSOLIDATED FINANCIAL STATEMENTS
          AS OF SEPTEMBER 30, 2024 AND
         NINE-MONTH PERIOD THEN ENDED
Page 2

          
Page 3

          
Page 4
                                                         The original consolidated financial statements included herein are in
                                                                                                          Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
          DAN ENTITAS ANAKNYA                                    AND ITS SUBSIDIARIES


                    DAFTAR ISI                                           TABLE OF CONTENTS




                                              Halaman/
                                               Pages


Surat Pernyataan Direksi                                                                  Director’s Statement Letter

Laporan Posisi Keuangan Konsolidasian           1–3                 Consolidated Statement of Financial Position

Laporan Laba Rugi                               4–5                       Consolidated Statement of Profit or Loss

Laporan Perubahan Ekuitas Konsolidasian         6–7                  Consolidated Statement of Changes in Equity

Laporan Arus Kas Konsolidasian                  8–9                          Consolidated Statement of Cash Flows

Catatan atas Laporan Keuangan Konsolidasian   10 – 245            Notes to the Consolidated Financial Statements
Page 5
                                                                              The original consolidated financial statements included herein are in
                                                                                                                               Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                      (Expressed in Rupiah, unless otherwise stated)



                                                          30 September/              31 Desember/
                                                        September 30 , 2024          December 31,
                                       Catatan/          (Tidak Diaudit/             2023 (Diaudit/
                                        Notes               Unaudited)                 Audited)

ASET                                                                                                                                    ASSETS
Kas dan setara kas                   5,42,43,45,47          241.431.832.989            361.428.478.152               Cash and cash equivalents
Portofolio efek                      6,39a,23,43,45                                                                       Marketable securities
  Pihak ketiga                                              653.806.491.834            668.551.927.667                           Third parties
  Pihak berelasi                                            244.465.341.507            251.612.549.551                         Related parties
Piutang sewa operasi                   7,42,43,45                                                                   Operating lease receivables
  Pihak ketiga - neto                                        64.420.482.421             31.398.231.762                      Third parties - net
Piutang nasabah                       39,42,43,45                                                                   Receivables from customers
  Pihak ketiga                                                8.438.670.116              8.709.939.343                           Third parties
  Pihak berelasi                                             30.052.411.561             27.831.686.930                         Related parties
Piutang premi - neto                 8,36,42,45,47          317.006.812.674            338.037.348.148               Premiums receivables - net
Piutang reasuransi                   9,42,43,45,47          185.099.249.204            100.091.820.676                    Due from reinsurance
Piutang lain-lain - pihak ketiga         42,45               77.247.836.205             36.530.910.063          Other receivables - third parties
Investasi pada entitas asosiasi                              20.174.223.193             16.742.611.794                  Investment in associate
Aset reasuransi                                                                                                              Reinsurance assets
  Estimasi klaim retensi sendiri          14                224.019.208.527            359.653.006.407         Estimated own retention claims
  Premi yang belum merupakan                                                                                                         Unearned
    pendapatan                            44                361.011.741.960            318.732.738.378                               premiums
Pendapatan yang belum ditagih                                 1.889.715.296             13.102.843.847                        Unbilled revenues
Uang muka dan beban dibayar                                                                                               Advance and prepaid
  di muka                                 10                261.642.574.045             94.329.907.070                                expenses
Pajak dibayar dimuka                                         13.390.747.542              7.804.822.623                            Prepaid taxes
Penyertaan saham                                              1.538.100.000              2.163.100.000                     Investment in shares
Aset tetap - neto                        11,45            1.849.070.549.670          1.493.089.861.951             Property and equipment - net
Properti investasi                                            7.391.000.000              7.391.000.000                    Investment properties
Aset pajak tangguhan                                         15.967.487.388             16.305.779.521                       Deferred tax assets
Aset lain-lain                                               10.288.659.420              8.783.409.302                              Other assets
TOTAL ASET                                                4.588.353.135.553          4.162.291.973.185                          TOTAL ASSETS




Catatan atas laporan keuangan konsolidasian terlampir                             The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                       form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                           consolidated financial statements taken as a whole.

                                                                      1
Page 6
                                                                              The original consolidated financial statements included herein are in
                                                                                                                               Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                      (Expressed in Rupiah, unless otherwise stated)

                                                          30 September/             31 Desember/
                                                        September 30, 2024          December 31,
                                      Catatan/            (Tidak Diaudit/           2023 (Diaudit/
                                       Notes                Unaudited)                Audited)

LIABILITAS DAN EKUITAS                                                                                          LIABILITIES AND EQUITY
LIABILITAS                                                                                                                     LIABILITIES
Utang bank                             12,42,43             931.191.990.586          503.828.623.170                              Bank loans
Utang nasabah                          42,43,45              37.869.431.432           21.617.797.563                   Payables to customers
Utang klaim                                                                                                                  Claims payables
  Pihak ketiga                       13,42,43,45             28.569.245.030           68.667.534.884                          Third parties
Liabilitas reasuransi                                                                                                  Reinsurance liabilities
  Estimasi klaim retensi sendiri          14                275.789.982.113          407.023.291.959         Estimated own retention claims
  Premi yang belum merupakan                                                                                                        Unearned
    pendapatan                            15                579.330.518.647          468.333.712.414                              premiums
Utang reasuransi                        16,43               353.603.306.313          297.468.174.885                      Due to reinsurance
Utang koasuransi                          41                  5.639.731.794            6.051.199.999                     Due to coinsurance
Utang komisi                           17,42,43              54.443.292.523           52.812.146.360                   Commissions payables
Utang lain-lain                                                                                                               Other payables
  Pihak ketiga                                               71.803.549.254           62.381.836.346                          Third parties
Beban akrual                                                                                                               Accrued expenses
  Pihak ketiga                            42                 38.338.369.703           20.831.560.224                          Third parties
Utang jaminan pelanggan                   18                 30.611.033.013           45.745.162.058               Customer security deposits
Liabilitas kontrak                                           12.036.740.330              275.519.844                     Contract Liabilities
Utang pajak                               19                 10.701.185.566           15.005.298.243                           Taxes payable
Liabilitas sewa                           20                440.761.195.619          493.239.361.586                         Lease liabilities
Liabilitas imbalan kerja                  21                 36.920.637.605           37.440.785.583              Employee benefits liabilities
Liabilitas pajak tangguhan                                   13.139.771.380           11.102.477.492                   Deferred tax liabilities
TOTAL LIABILITAS                                          2.920.749.980.908        2.511.824.482.610                    TOTAL LIABILITIES




Catatan atas laporan keuangan konsolidasian terlampir                             The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                       form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                           consolidated financial statements taken as a whole.

                                                                      2
Page 7
                                                                              The original consolidated financial statements included herein are in
                                                                                                                               Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                      (Expressed in Rupiah, unless otherwise stated)

                                                          30 September/              31 Desember/
                                       Catatan/         September 30, 2024           December 31,
                                        Notes             (Tidak Diaudit/            2023 (Diaudit/
                                                            Unaudited)                 Audited)

EKUITAS                                                                                                                                 EQUITY
Ekuitas yang dapat diatribusikan                                                                            Equity attributable to the Owners of
 kepada pemilik Entitas Induk                                                                                                 the Parent Entity
 Modal saham - nilai nominal                                                                                                  Share capital - par
   Rp 5 per saham pada tahun                                                                                       value of Rp 5 per share in
   2024 dan Rp 100 per saham                                                                                      2024 and Rp 100 per share
   pada tahun 2023                                                                                                                      in 2023
 Modal dasar - 1.750.000.000                                                                                                 Authorized capital -
   saham                                                                                                                 1,750,000,000 shares
 Modal ditempatkan dan disetor                                                                                              Issued and fully paid
   penuh - 515.498.662 saham               22                51.549.866.200            51.549.866.200                    capital - 515,498,662
 Tambahan modal disetor - neto             23                39.024.486.889            39.024.486.889           Additional paid-in capital - net
 Saham treasuri                                            (229.830.990.000)         (229.830.990.000)                           Treasury shares
 Selisih atas                                                                                                             Difference in value of
   transaksi dengan                                                                                                           transactions with
   Kepentingan Non-pengendali             2ai               (55.045.350.931)           (55.045.350.931)              Non-controlling Interests
 Cadangan lain-lain                                            (451.505.482)              (451.505.482)                          Other reserves
 Saldo laba                                                                                                                  Retained earnings
   Telah ditentukan
     penggunaannya                         24                  500.000.000                 500.000.000                           Appropriated
   Belum ditentukan
     penggunaannya                                        1.498.472.067.015         1.476.508.144.829                       Unappropriated
 Penghasilan komprehensif lain                               51.570.477.853            63.408.879.208            Other comprehensive income
Ekuitas yang dapat diatribusikan                                                                          Equity attributable to the Owners of
 kepada pemilik Entitas Induk                             1.355.789.051.544         1.345.663.530.713                        the Parent Entity
Kepentingan Non-pengendali                 25               311.814.103.101           304.803.959.862                Non-controlling interests
TOTAL EKUITAS                                             1.667.603.154.645         1.650.467.490.575                        TOTAL EQUITY
TOTAL LIABILITAS DAN                                                                                             TOTAL LIABILITIES AND
 EKUITAS                                                  4.588.353.135.553         4.162.291.973.185                         EQUITY




Catatan atas laporan keuangan konsolidasian terlampir                             The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                       form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                           consolidated financial statements taken as a whole.

                                                                      3
Page 8
                                                                               The original consolidated financial statements included herein are in
                                                                                                                                Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                       PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                       AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                  INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                       FINANCIAL POSITION
Tanggal 30 September 2024                                                                                   As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                       (Expressed in Rupiah, unless otherwise stated)

                                                    30 September/               30 September/
                                     Catatan      September 30, 2024          September 30, 2023
                                     / Notes        (Tidak Diaudit/             (Tidak Diaudit/
                                                      Unaudited)                  Unaudited)

PENDAPATAN                                                                                                                         REVENUES
Jasa manajemen investasi dan                                                                                        Investment management and
  lainnya                               27              305.247.249.565         325.819.578.394                                     other fees
Pendapatan jasa transportasi           27,41            383.866.958.105         326.135.659.620                   Transportation service income
Pendapatan keuangan -                                                                                                     Finance income - net
  neto                                   29              12.757.323.695          10.009.816.747                                 Gain on trading
Hasil underwriting - neto                28              99.016.389.856          43.433.677.932                       Underwriting income - net
Pendapatan lain-lain - neto              30              37.704.344.950          (4.978.600.147)                             Other income - net
Total pendapatan                                        838.592.266.171         700.420.132.546                                  Total revenues

BEBAN USAHA                                                                                                         OPERATING EXPENSES
Pemasaran                                31             149.903.879.276         158.378.874.585                             Marketing expenses
Gaji dan tunjangan                       32             114.737.665.243          91.480.822.599                        Salaries and allowances
Beban jasa transportasi                  35             254.279.344.414         208.473.376.318                 Transportation service expenses
Keuangan                                 33              68.754.864.206          50.663.934.399                               Finance expenses
Umum dan administrasi                    34              61.395.395.899          44.845.569.587                     General and administrative
Kerugian penurunan nilai                 36               3.600.000.000           3.600.000.000                Impairment losses on receivables
Penyusutan                                               10.317.923.002           5.559.772.328                                   Depreciation
Total beban usaha                                       662.989.072.039         563.002.349.816                       Total operating expenses

Porsi rugi dari entitas Asosiasi                         (4.665.825.520)              69.663.055                     Share of loss from Associate

LABA SEBELUM BEBAN PAJAK                                                                                         INCOME BEFORE INCOME
 PENGHASILAN                                            170.937.368.611         137.487.445.786                          TAX EXPENSE

BEBAN PAJAK PENGHASILAN                                 (28.704.611.743)         (38.174.493.173)                     INCOME TAX EXPENSE

LABA NETO TAHUN BERJALAN                                142.232.756.868           99.312.952.613              NET INCOME FOR THE YEAR
Total penghasilan komprehensif lain                                   -                          -
TOTAL LABA                                                                                                       TOTAL COMPREHENSIVE
  KOMREHENSIF                                           142.232.756.868           99.312.952.613                            INCOME




Catatan atas laporan keuangan konsolidasian terlampir                              The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                        form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                            consolidated financial statements taken as a whole.

                                                                          4
Page 9
                                                                               The original consolidated financial statements included herein are in
                                                                                                                                Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                       PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                       AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                  INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                       FINANCIAL POSITION
Tanggal 30 September 2024                                                                                   As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                       (Expressed in Rupiah, unless otherwise stated)



                                                    30 September/               30 September/
                                      Catatan
                                                  September 30, 2024          September 30, 2023
                                      / Notes
                                                    (Tidak Diaudit/             (Tidak Diaudit/
                                                      Unaudited)                  Unaudited)

Total laba neto tahun berjalan                                                                                                  Total net income
 yang dapat diatribusikan                                                                                                           for the year
 kepada:                                                                                                                        attributable to:
 Pemilik Entitas Induk                                                                                              Owners of the Parent Entity
 Laba tahun berjalan dari operasi                                                                                     Income for the year from
   yang dilanjutkan                      37             142.232.756.868           99.312.952.613                       continuing operations
 Laba tahun berjalan yang                                                                                                   Income for the year
   diatribusikan kepada pemilik                                                                                       attributable to Owners
   Entitas Induk                         37             121.299.662.248           73.774.057.617                         of the Parent Entity
 Kepentingan Non-pengendali              25              20.933.094.621           25.538.894.996                      Non-controlling Interests
Total                                                   142.232.756.868           99.312.952.613                                             Total


LABA NETO PER SAHAM DASAR                                                                                      BASIC EARNINGS PER SHARE
 YANG DAPAT DIATRIBUSIKAN                                                                                              ATTRIBUTABLE TO
 KEPADA PEMILIK ENTITAS                                                                                                  THE OWNERS OF
 INDUK                                                                                                               THE PARENT ENTITY
Dasar                                                                                                                                     Basic
Dari operasi yang dilanjutkan 37                                  12,27                       7,46                  From continuing operations
Total laba per saham dasar                                        12,27                       7,46               Total basic earnings per share
(Harga nominal saham yang sebelumnya Rp 100,-/saham berubah menjadi Rp 5,-/saham karena efek stocksplit)




Catatan atas laporan keuangan konsolidasian terlampir                              The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                        form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                            consolidated financial statements taken as a whole.

                                                                          5
Page 10
                                                                                                                                                                                                            The original consolidated financial statements included herein are in
                                                                                                                                                                                                                                                             Indonesia language.

      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                                                                                                                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
      DAN ENTITAS ANAKNYA                                                                                                                                                                                                                AND ITS SUBSIDIARIES
      LAPORAN POSISI KEUANGAN                                                                                                                                                                                           INTERIM CONSOLIDATED STATEMENT
      KONSOLIDASIAN INTERIM                                                                                                                                                                                                                FINANCIAL POSITION
      Tanggal 30 September 2024                                                                                                                                                                                                            As at September 30, 2024
      (Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                                                                                                                (Expressed in Rupiah, unless otherwise stated)
                                                                                                                              30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                                                        Selisih atas
                                                                                         Transaksi
                                                                                           Dengan
                                                                                       Kepentingan                                                                                                               Total Ekuitas -
                                                                                            Non-                                                                                                                Neto Yang Dapat
                                                                                        pengendali/                                                                                                               Diatribusikan
                                                                                       Differences in                                                                                                            Kepada Pemilik
                                                                                          Value of                                                      Saldo Laba (Defisit)/                                    Entitas Induk/
                                                                                       Transactions       Tambahan Modal      Cadangan              Retained Earnings (Deficit)           Penghasilan           Total Equity - Net    Kepentingan
                                                                                         with Non-          Disetor - Neto    Lain-lain/      Telah Ditentukan Belum Ditentukan       Komprehensif Lain/         Attribute to the    Non-Pengendali/
                                       Catatan/   Modal Saham/     Saham treasuri/      controlling       Additional Paid -    Other          Penggunaannya/        Penggunannya/     Other Comprehensive        Owners of the       Non-Controlling      Total Ekuitas
                                        Notes     Share Capital    Treasury shares        Interests        In Capital - Net   Reserves          Appropriated       Unappropriated           Income                Parent Entity          Interest         Total Equity

 Saldo 31 Desember 2023                           51.549.866.200   (229.830.990.000)   (55.045.350.931)     39.024.486.889    (451.505.482)       500.000.000    1.476.508.144.829          63.408.879.208      1.345.663.530.713    304.803.959.862     1.650.467.490.575    Balance as at December 31, 2023

 Dividen kas                                                 -                  -                  -                   -               -                  -        (99.335.740.062)                     -         (99.335.740.062)    (16.129.174.576)   (115.464.914.638)                      Cash dividends

  Laba neto tahun berjalan                                   -                  -                  -                   -               -                  -        121.299.662.248                      -         121.299.662.248      20.933.094.621     142.232.756.868               Net income for the year

  Penghasilan komprehensif lain                              -                  -                  -                   -               -                  -                    -            (11.838.401.354)      (11.838.401.354)      2.206.223.194       (9.632.178.160)        Other comprehensive income

 Total penghasilan komprehensif lain                         -                  -                  -                   -               -                  -        121.299.662.248          (11.838.401.354)      109.461.260.894      23.139.317.815     132.600.578.709         Total comprehensive income

 Saldo 30 September 2024                          51.549.866.200   (229.830.990.000)   (55.045.350.931)     39.024.486.889    (451.505.482)       500.000.000    1.498.472.067.015          51.570.477.854      1.355.789.051.544    311.814.103.101     1.667.603.154.645    Balance as at September 30, 2024




Catatan atas laporan keuangan konsolidasian terlampir                                                                                                                                                                  The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                                                                                                                                                            form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                                                                                                                                                                consolidated financial statements taken as a whole.

                                                                                                                                                     6
Page 11
                                                                                                                                                                                                                 The original consolidated financial statements included herein are in
                                                                                                                                                                                                                                                                  Indonesia language.

           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                                                                                                                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
           DAN ENTITAS ANAKNYA                                                                                                                                                                                                                AND ITS SUBSIDIARIES
           LAPORAN POSISI KEUANGAN                                                                                                                                                                                           INTERIM CONSOLIDATED STATEMENT
           KONSOLIDASIAN INTERIM                                                                                                                                                                                                                FINANCIAL POSITION
           Tanggal 30 September 2024                                                                                                                                                                                                            As at September 30, 2024
           (Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                                                                                                                (Expressed in Rupiah, unless otherwise stated)


                                                                                                                                         31 Desember/ December 31, 2023 (Diaudit/ Audited)
                                                                                             Selisih atas
                                                                                              Transaksi
                                                                                                Dengan
                                                                                            Kepentingan                                                                                                               Total Ekuitas -
                                                                                                 Non-                                                                                                                Neto Yang Dapat
                                                                                             pengendali/                                                                                                               Diatribusikan
                                                                                            Differences in                                                                                                            Kepada Pemilik
                                                                                               Value of                                                      Saldo Laba (Defisit)/                                    Entitas Induk/
                                                                                            Transactions       Tambahan Modal      Cadangan              Retained Earnings (Deficit)             Penghasilan         Total Equity - Net    Kepentingan
                                                                                              with Non-          Disetor - Neto    Lain-lain/      Telah Ditentukan Belum Ditentukan         Komprehensif Lain/       Attribute to the    Non-Pengendali/
                                            Catatan/   Modal Saham/     Saham treasuri/      controlling       Additional Paid -    Other          Penggunaannya/        Penggunannya/       Other Comprehensive      Owners of the       Non-Controlling      Total Ekuitas
                                             Notes     Share Capital    Treasury shares        Interests        In Capital - Net   Reserves          Appropriated       Unappropriated             Income              Parent Entity          Interest         Total Equity

  Saldo 31 Desember 2022                               51.549.866.200   (213.744.190.000)   (55.045.350.931)     39.893.944.246    (451.505.482)       325.000.000    1.422.571.356.880          121.433.507.926     1.366.532.628.839    105.153.556.875     1.471.686.185.714             Balance as at December 31, 2022

  Dividen kas                                                     -                  -                  -                   -               -                  -                    -                        -                      -      (16.671.625.711)     (16.671.625.711)             Cash dividends from subsidiaries

  Dividen kas Entitas Induk                                       -                  -                  -                   -               -                  -        (53.868.605.683)                     -         (53.868.605.683)                -        (53.868.605.683)               Cash dividends of Parent Entity

  Pembentukan cadangan umum                                       -                  -                  -                   -               -          175.000.000         (175.000.000)                     -                      -                  -                    -               Appropriation of general reserves

  Perubahan transaksi pada Entitas Anak                           -                  -                  -          (869.457.357)            -                  -         (6.399.356.449)           3.148.222.261        (4.120.591.545)   101.051.332.322       96.930.740.778         Changes in transaction of Subsidiaries

  Saham yang diperoleh dari pembelian                                                                                                                                                                                                                                                                          Shares aquired
   kembali saham                                                  -      (16.086.800.000)               -                   -               -                  -                    -                        -         (16.086.800.000)                -        (16.086.800.000)                        from shares buyback

  Efek dekonsolidasi Entitas Anak                                 -                  -                  -                   -               -                  -         (9.019.348.833)                     -          (9.019.348.833)       609.000.000        (8.410.348.833)       Effect of deconsolidation of Subsidiary

  Penambahan modal pada Entitas Anak oleh                                                                                                                                                                                                                                              Additional capital to Subsidiaries from
   Kepentingan Non-pengendali                                     -                  -                  -                   -               -                  -                    -                        -                      -       86.113.476.843      86.113.476.843                     Non-controlling interest

  Transfer cadangan revaluasi aset tetap                                                                                                                                                                                                                                                  Transfer of asset revaluation reserve
   yang dijual                                                    -                  -                  -                   -               -                  -          7.800.749.400           (7.800.749.400)                   -                  -                    -                of property and equipment sold

  Efek pajak terkait transfer cadangan revaluasi                                                                                                                                                                                                                                   Related tax effect on transfer of revaluation
    aset tetap yang dijual                                        -                  -                  -                   -               -                  -                        -          1.818.810.399         1.818.810.399       1.022.960.101       2.841.770.500                        reserve of vehicles sold

  Laba neto tahun berjalan                                        -                  -                  -                   -               -                  -        113.763.277.239                      -         113.763.277.239      25.044.220.227     138.807.497.466                         Net income for the year

  Penghasilan komprehensif lain                                                                                                                                                                                                                                                               Other comprehensive income
   pengukuran kembali liabilitas imbalan kerja                    -                  -                  -                   -               -                  -          2.352.656.763                      -           2.352.656.763        394.479.947        2.747.136.709
                                                                                                                                                                                                                                                                            Remeasurement of employee benefits liabilities

  Cadangan revaluasi aset tetap                                   -                  -                  -                   -               -                  -                    -              6.576.364.468         6.576.364.468                 -         6.576.364.468                    Vehicles revaluation reserve

  Penghasilan dari penjabaran laporan keuangan                    -                  -                  -                   -               -                  -                    -             17.834.400.541        17.834.400.541       2.494.834.579      20.329.235.119 Income on translation of financial statements

  Keuntungan nilai wajar aset keuangan                                                                                                                                                                                                                                                  Unrealized fair value loss on financial
   pada nilai wajar melalui                                                                                                                                                                                                                                                                 assets at fair value through other
   penghasilan komprehensif lain                                  -                  -                  -                   -               -                  -                    -            (78.154.876.804)      (78.154.876.804)       (321.489.731)     (78.476.366.535)                        comprehensive income

  Efek pajak terkait                                              -                  -                  -                   -               -                  -           (517.584.488)          (1.446.800.183)       (1.964.384.671)        (86.785.588)      (2.051.170.259)                            Related tax effect

  Total penghasilan komprehensif lain                             -                  -                  -                   -               -                  -        115.598.349.514          (55.190.911.978)       60.407.437.536      27.525.259.433      87.932.696.968                   Total comprehensive income
  Saldo 31 Desember 2023                               51.549.866.200   (229.830.990.000)   (55.045.350.931)     39.024.486.889    (451.505.482)       500.000.000    1.476.508.144.829           63.408.879.208     1.345.663.530.713    304.803.959.862     1.650.467.490.575             Balance as at December 31, 2023



Catatan atas laporan keuangan konsolidasian terlampir                                                                                                                                                                            The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                                                                                                                                                                      form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                                                                                                                                                                          consolidated financial statements taken as a whole.

                                                                                                                                                             7
Page 12
                                                                                 The original consolidated financial statements included herein are in
                                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                         (Expressed in Rupiah, unless otherwise stated)

                                               Catatan/
                                                            30 September/          30 September/
                                                Notes
                                                          September 30, 2024     September 30 , 2023
                                                            (Tidak Diaudit/       (Tidak Diaudit/
                                                              Unaudited)             Unaudited)


        ARUS KAS DARI                                                                                                CASH FLOWS FROM
          AKTIVITAS OPERASI                                                                                   OPERATING ACTIVITIES
        Penerimaan premi                          28       1.144.808.256.465        579.869.510.419                       Premiums received
        Penerimaan jasa manajemen dan                                                                               Receipts from investment
          lainnya                                 26         311.859.480.013        324.228.800.266            management and other fees
        Penerimaan atas pendapatan sewa                                                                         Receipts from transportation
          operasi                                 27         348.625.157.778        326.294.392.494                        service income
        Penerimaan klaim reasuransi               28         172.779.944.426        197.931.910.165              Reinsurance claims received
        Penerimaan komisi - neto                  28          55.660.731.720         42.817.438.932          Proceeds from commissions - net
        Penerimaan dari pendapatan
          keuangan                                29          16.908.073.831          9.924.941.893              Receipts from finance income
        Pembayaran kepada pemasok dan
          karyawan                                32        (450.470.645.139)      (396.503.377.867)      Payment to suppliers and employees
        Pembayaran premi reasuransi               28        (800.232.357.425)      (452.161.776.023)             Reinsurance premiums paid
        Pembayaran klaim                          28        (455.830.246.704)      (228.917.957.759)                             Claims paid
        Pembayaran untuk beban keuangan           33          (1.331.303.426)       (34.026.640.920)           Payment for finance expenses
        Pembayaran pajak                                     (37.585.273.325)       (12.272.924.767)                       Payment for taxes
        Pembayaran kas untuk aktivitas                                                                                     Payment for other
          operasi lainnya                                    (19.426.911.507)       (31.248.078.649)                   operating activities
        Arus kas neto yang diperoleh                                                                                    Net cash provided by
           dari aktivitas operasi                            285.764.906.707        325.936.238.184                    operating activities

        ARUS KAS DARI                                                                                                CASH FLOWS FROM
          AKTIVITAS INVESTASI                                                                                 INVESTING ACTIVITIES
        Penerimaan (penempatan) dari             6,38a        82.639.470.035       (424.663.613.072)     Proceeds from disposal of investment
          portofolio efek                                                                                                     in subsidiary
        Penerimaan dari pelepasan investasi pada                                                            Proceeds from sale of subsidiary,
          entitas anak                                                       -     (100.975.592.774)                  net of cash disposed
        Penerimaan dari penjualan aset                                                                        Proceeds from sale of property
          tetap                                               80.408.609.602         70.657.083.653                          and equipmen
        Pencairan (penempatan) deposito            5         113.050.000.000        183.110.350.609              Withdrawals of time deposit
          berjangka
        Penempatan investasi                                (169.719.835.904)                     -                      Placement Investment
        Perolehan aset tetap                                (712.890.324.569)      (317.364.697.889)    Acquisition of property and equipment
        Penerimaan (pembayaran) investasi                                                                            Proceeds (payment) other
          lainnya                                            (61.650.906.045)       415.896.731.274                              investment
        Arus kas neto yang diperoleh dari
          (digunakan untuk) aktivitas                                                                          Net cash provided by (used in)
          investasi                                         (668.162.986.881)      (173.339.738.199)                   investing activities




Catatan atas laporan keuangan konsolidasian terlampir                                The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                          form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                              consolidated financial statements taken as a whole.

                                                                         8
Page 13
                                                                               The original consolidated financial statements included herein are in
                                                                                                                                Indonesia language.

 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
 DAN ENTITAS ANAKNYA                                                                                      AND ITS SUBSIDIARIES
 LAPORAN POSISI KEUANGAN                                                                 INTERIM CONSOLIDATED STATEMENT
 KONSOLIDASIAN INTERIM                                                                                      FINANCIAL POSITION
 Tanggal 30 September 2024                                                                                  As at September 30, 2024
 (Disajikan dalam Rupiah, kecuali dinyatakan lain)                                      (Expressed in Rupiah, unless otherwise stated)


                                                          30 September/            30 September/
                                                        September 30, 2024      September 30, 2023
                                                          (Tidak Diaudit/         (Tidak Diaudit/
                                                            Unaudited)              Unaudited)

   ARUS KAS DARI                                                                                                        CASH FLOWS FROM
     AKTIVITAS PENDANAAN                                                                                        FINANCING ACTIVITIES
   Penerimaan utang bank                      12           427.363.367.416          70.839.803.274                    Proceeds from bank loans
   Penerimaan pinjaman pihak ketiga                          9.503.733.862                       -              Proceeds from third party loans
   Penerimaan dari penawaran umum                                                                                  Proceeds from limited public
     terbatas                                                            -         252.574.538.939                                    offering
   Penerimaan pembelian kembali saham                                    -         (16.086.800.000)                  Payment of shares buyback
   Penerimaan tambahan modal disetor                       108.637.664.213                       -        Proceeds of additiomal paid-in capital
   Penerimaan atas peningkatan modal                                                                          Proceeds from issuance of shares
     saham entitas anak yang menjadi                                                                            of subsidiary to non-controlling
     bagian non pengendali                                  28.553.846.509                           -                                   interests
   Pembayaran pokok liabilitas                                                                                  Payment of principal portion of
     sewa                                                  (86.817.962.264)       (178.773.989.661)                           lease liabilities
   Pembayaran dividen kas kepada                                                                                Payment of cash dividends from
     Kepentingan Non-pengendali                                          -         (44.224.409.500)                  Non-controlling interest
   Pembayaran dividen kas                                 (112.310.850.879)                      -
   Pembayaran beban emisi saham                                                                                   Payment stock issuance cost of
     Entitas Anak                                                          -         (1.322.000.000)                               Subsidiary
   Arus kas neto yang diperoleh dari
     (digunakan untuk) aktivitas                                                                                  Net cash provided by (used in)
     pendanaan                                             374.929.798.858          83.007.143.052                        financing activities



   KENAIKAN (PENURUNAN) NETO                                                                               NET INCREASE (DECREASE) IN
    KAS DAN SETARA KAS                                      (7.468.281.316)         235.603.643.037      CASH AND CASH EQUIVALENTS

   PENGARUH SELISIH KURS ATAS                                                                            EFFECT OF FOREIGN CURRENCY
    MATA UANG ASING                                            521.636.154                       -          EXCHANGE RATE CHANGES

   KAS DAN SETARA KAS AWAL                                                                                 CASH AND CASH EQUIVALENTS
    TAHUN                                                  248.378.478.152         137.145.897.882               BEGINNING OF YEAR

   CERUKAN                                                                 -                         -                    BANK OVERDRAFT

   KAS DAN SETARA KAS AKHIR                                                                                CASH AND CASH EQUIVALENTS
    TAHUN                                                  241.431.832.989         372.749.540.919                     END OF YEAR




Catatan atas laporan keuangan konsolidasian terlampir                               The accompanying notes to the consolidated financial statements
merupakan bagian yang tidak terpisahkan dari                                                                         form an integral part of these
laporan keuangan konsolidasian secara keseluruhan.                                             consolidated financial statements taken as a whole.

                                                                       9
Page 14
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


1.   UMUM                                                        1.       GENERAL
     a.   Pendirian Entitas Induk dan Informasi                           a.     The Parent Entity              Establishment         and
          Umum                                                                   General Information
          PT Batavia Prosperindo Internasional Tbk                               PT Batavia Prosperindo Internasional Tbk
          (“Entitas Induk”), dahulu didirikan dengan                             (the “Parent Entity”), was established under
          nama PT Batavia Prosperindo Internasional di                           the name of PT Batavia Prosperindo
          Jakarta berdasarkan Akta Notaris No. 78                                Internasional in Jakarta based on Notarial
          tanggal 12 November 1998 yang dibuat di                                Deed No. 78 dated November 12, 1998 of Dr.
          hadapan Dr. Irawan Soerodjo, S.H. , Notaris di                         Irawan Soerodjo, S.H., Notary in Jakarta.
          Jakarta. Akta pendirian tersebut telah disahkan                        The Deed of Establishment was approved by
          oleh Menteri Kehakiman Republik Indonesia                              the Ministry of the Republic of Indonesia in
          berdasarkan     Surat     Keputusan       No.C-                        its     Decision      Letter      No.      C-
          18678HT.01.01.TH.99 tanggal 10 November                                18678HT.01.01.TH.99 dated November 10,
          1999 dan telah diumumkan dalam Berita                                  1999 and was published in the State Gazette
          Negara Republik Indonesia No. 65 tanggal 15                            No. 65 of the Republic of Indonesia dated
          Agustus 2000, Tambahan No. 4522.                                       August 15, 2000, Supplement No. 4522.
          Berdasarkan Pernyataan Keputusan Edaran                                Based     on     Circular     Resolution    of
          Pemegang Saham pada tanggal 4 April 2014                               Shareholders dated April 4, 2014 as stated in
          yang diaktakan oleh Dr. Irawan Soerodjo, SH.,                          Notarial Deed No. 37 dated April 4, 2014 by
          M.Si. Notaris di Jakarta, dengan Akta Notaris                          Dr. Irawan Soerodjo, SH., M.Si., Notary in
          No.                 37                  tanggal                        Jakarta, the shareholders of the Parent Entity
          4 April 2014, pemegang saham Entitas Induk                             approved the change of the Parent Entity’s
          menyetujui perubahan nama Entitas Induk                                name become to PT Batavia Prosperindo
          menjadi PT Batavia Prosperindo Internasional                           Internasional Tbk. This amendment was
          Tbk. Perubahan tersebut telah memperoleh                               approved by the Ministry of Justice and
          persetujuan dari Menteri Hukum dan Hak                                 Human Rights of the Republic of Indonesia
          Asasi     Manusia      Republik       Indonesia                        based on its Decision Letter No. AHU-
          berdasarkan Surat Keputusan No. AHU-                                   00471.40.20.2014 dated April 15, 2014 and
          00471.40.20.2014 tanggal 15 April 2014 serta                           was published in State Gazette No. 104 of
          diumumkan dalam Berita Negara Republik                                 Republic of Indonesia, Supplement No 72117
          Indonesia No. 104, Tambahan No. 72117                                  dated December 30, 2014.
          tanggal 30 Desember 2014.
          Anggaran dasar Entitas Induk telah diubah                              The Parent Entity's Articles of Association
          dengan Akta Notaris No. 265 tanggal                                    have been amended through Notarial Deed
          30 April 2015 dari Dr. Irawan Soerodjo, S.H.,                          No. 265 dated April 30, 2015 of Dr. Irawan
          M.Si., Notaris di Jakarta, dalam rangka                                Soerodjo, SH, M.Si., Notary in Jakarta, in
          perubahan Anggaran Dasar Entitas Induk                                 order to change the Parent Entity’s Articles
          untuk menyesuaikan dengan Peraturan                                    of Association to conform with Financial
          Otoritas      Jasa     Keuangan      (POJK)                            Services Authority Regulation (POJK)
          No. 32/POJK.04/2014 tentang Rencana dan                                No. 32/POJK.04/2014 relating to Plan and
          Penyelenggaraan Rapat Umum Pemegang                                    Arrangement of General Meetings of
          Saham Perusahaan Terbuka dan POJK                                      Shareholders of Public Limited Companies
          No. 33/POJK.04/2014 tentang Direksi dan                                and POJK No. 33/POJK.04/2014 regarding
          Dewan Komisaris Emiten atau Perusahaan                                 to the Directors and Board of Commissioners
          Publik. Perubahan tersebut telah dilaporkan                            of Issuers or Public Company. Such
          kepada Kementerian Hukum dan Hak Asasi                                 amendment had been reported to Ministry of
          Manusia Republik Indonesia berdasarkan                                 Law and Human Rights of the Republic of
          Surat     No.      AHU-AHA.01.03-0931268                               Indonesia based on Notification Letter
          tertanggal 11 Mei 2015.                                                No.      AHU-AHA.01.03-0931268        dated
                                                                                 May 11, 2015.


                                                            10
Page 15
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                           1.       GENERAL (Continued)

     a.   Pendirian Entitas Induk dan Informasi                         a.     The Parent Entity Establishment                      and
          Umum (Lanjutan)                                                      General Information (Continued)

          Entitas Induk telah mengubah statusnya dari                          The Parent Entity has changed its status from
          Perusahaan Non Penanaman Modal Asing                                 a Non-Foreign Capital Investment Company
          menjadi Perusahaan Penanaman Modal Asing                             into a Foreign Capital Investment Company
          berdasarkan Surat Persetujuan untuk merubah                          based on the Approval Letter to change the
          status dari Non Penanaman Modal Asing                                status from a Non-Foreign Capital
          menjadi Penanaman Modal Asing dari Kepala                            Investment Company into a Foreign Capital
          Badan       Penanaman        Modal      dan                          Investment Company, from the Head of
          Pendayagunaan Kekayaan dan Usaha Daerah                              Capital Investment and Assets Utilization and
          Provinsi DKI Jakarta No. 1/31/V/PMA/2002                             Operations from DKI Jakarta Regional
          tanggal 18 Maret 2002.                                               Governance No. 1/31/V/PMA/2002 dated
                                                                               March 18, 2002.

          Sesuai dengan Pasal 3 Anggaran Dasar                                 In accordance with Article 3 of the Parent
          Entitas Induk, maksud dan tujuan pendirian                           Entity’s Articles of Association, the scope of
          Entitas Induk adalah dalam aktivitas                                 its activities is to engage in other
          konsultasi manajemen lainnya. Entitas Induk                          management consulting services. The Parent
          memulai kegiatan usahanya secara komersial                           Entity started its commercial operations on
          pada tanggal 12 Mei 1999.                                            May 12, 1999.

          Kantor pusat Entitas Induk terletak di Gedung                        The Parent Entity’s head office is located at
          Chase Plaza, Lantai 12, Jl. Jenderal Sudirman                        Chase Plaza, 12th Floor, Jenderal Sudirman
          Kav. 21, Jakarta Selatan.                                            Street Kav. 21, South Jakarta.

          Pada tanggal 30 September 2024, susunan                              As at September 30, 2024, the members of the
          Dewan Komisaris dan Direksi Entitas Induk                            Parent Entity’s Boards of Commissioners and
          berdasarkan Akta Notaris No. 2 tanggal 3                             Directors which are appointed, based on
          Juni 2024 dari Gatot Widodo, S.E., S.H.,                             Notarial Deed No. 2 dated June 3, 2024 made
          M.Kn., Notaris di Jakarta, adalah sebagai                            by Gatot Widodo, S.E., S.H., M.Kn., Notary in
          berikut:                                                             Jakarta, are as follows:


           Dewan Komisaris                                                                         Board of Commissioners
           Komisaris Utama             :           Irena Istary Iskandar                       :    President Commissioner
           Komisaris Independen        :              Paulin Angeline                          : Independent Commissioner
           Komisaris                   :              Rudy Johansen                            :              Commissioner

           Direksi                                                                                          Board of Directors
           Direktur Utama              :          Rudi Setiadi Tjahjono                        :            President Director
           Direktur                    :               Luo Xude                                :                      Director




                                                          11
Page 16
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                         1.       GENERAL (Continued)

     a.   Pendirian Entitas Induk dan Informasi                       a.     The Parent Entity Establishment                      and
          Umum (Lanjutan)                                                    General Information (Continued)

          Pada tanggal 31 Desember 2023, susunan                             As at December 31, 2023, the members of the
          Dewan Komisaris dan Direksi Entitas Induk                          Parent Entity’s Boards of Commissioners and
          berdasarkan Akta Notaris No. 5 tanggal 29                          Directors which are appointed, based on
          Juni 2022 dari Gatot Widodo, S.E., S.H.,                           Notarial Deed No. 5 dated June 29, 2022
          M.Kn., Notaris di Jakarta, adalah sebagai                          made by Gatot Widodo, S.E., S.H., M.Kn.,
          berikut:                                                           Notary in Jakarta, are as follows:

          Dewan Komisaris                                                                            Board of Commissioners
          Komisaris Utama            :              Irena Istary Iskandar                        :    President Commissioner
          Komisaris Independen       :                     Eveline                               : Independent Commissioner
          Komisaris                  :                 Rudy Johansen                             :              Commissioner

          Direksi                                                                                              Board of Directors
          Direktur Utama             :              Rudi Setiadi Tjahjono                        :             President Director
          Direktur                   :                   Luo Xude                                :                       Director


          Susunan Komite Audit dan Manajemen                                 The composition of the Audit and
          Risiko Entitas Induk pada tanggal                                  Risk Management Committee as at
          30 September 2024 adalah sebagai berikut:                          September 30, 2024 are as follows:

          Ketua                      :                Paulin Angeline                            :                            Head
          Anggota                    :                 M. Nur Alam                               :                          Member
          Anggota                    :                    Yenny                                  :                          Member


          Susunan Komite Audit dan Manajemen                                 The composition of the Audit and
          Risiko Entitas Induk pada tanggal                                  Risk Management Committee as at
          31 Desember 2023 adalah sebagai berikut:                           December 31, 2023 are as follows:

          Ketua                      :                   Eveline                                 :                            Head
          Anggota                    :                 Agus Angkoso                              :                          Member
          Anggota                    :                 Eddy Silalahi                             :                          Member




                                                        12
Page 17
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                           1.       GENERAL (Continued)

     a.   Pendirian Entitas Induk dan Informasi                         a.     The Parent Entity Establishment                      and
          Umum (Lanjutan)                                                      General Information (Continued)


          Berdasarkan     Peraturan   Otoritas   Jasa                          Based on the Financial Services Authority
          Keuangan (POJK) Nomor 56/POJK.04/2015                                Regulation          (POJK)          Number
          tentang    Pembentukan     dan     Pedoman                           56/POJK.04/2015          regarding        the
          Penyusunan Piagam Unit Audit Internal,                               Establishment and Guidelines for the
          Entitas Induk telah menyusun Piagam Audit                            Arrangement of an Internal Audit Unit
          Internal sejak tanggal 9 Januari 2010 dan                            Charter, the Parent Entity has prepared an
          telah membentuk Divisi Audit Internal sejak                          Internal Audit Charter since January 9, 2010
          tanggal 7 Desember 2009, berdasarkan Surat                           and has established an Internal Audit
          Penunjukkan Anggota Audit Internal                                   Division since December 7, 2009, based on
          Perusahaan.                                                          the Letter of Appointment of the Company's
                                                                               Internal Audit Member.

          Ketua Unit Audit Internal Entitas Induk pada                         The Head of Internal Audit Unit of the Parent
          tanggal 30 September 2024 dan 31 Desember                            Entity as at September 30, 2024 and
          2023, berdasarkan Surat Keputusan Direksi                            December 31, 2023, based on the
          tentang penggantian ketua unit Audit Internal                        Appointment Letter of the Parent Entity’s
          tanggal 8 Desember 2023 adalah Fransisca                             Internal Audit Unit Head dated December 8,
          Sinta Nugraheni.                                                     2023 is Fransisca Sinta Nugraheni.

          Berdasarkan Surat Keputusan Direksi Entitas                         Based on the Decree of the Board of
          Induk No. 001/BPI-DIR/VIII/2021 tanggal                             Directors of the Parent Entity No. 001/BPI-
          19 Agustus 2021, Entitas Induk mengangkat                           DIR/VIII/2021 dated 19 August 2021, the
          Jenny Sutio sebagai Sekretaris Perusahaan                           Parent Entity appointed Jenny Sutio as
          menggantikan Kamal.                                                 Corporate Secretary to replace Kamal.

          Pada tanggal 30 September 2024 dan 31                               As at September 30, 2024 and December 31,
          Desember 2023 , total karyawan tetap Entitas                        2023 , the Parent Entity and its Subsidiaries
          Induk dan Entitas Anaknya (secara bersama                           (collectively referred to as the "Group")
          disebut "Grup") memiliki gabungan masing-                           have a combined total of 380 permanent
          masing sebanyak 380 karyawan tetap.                                 employees, respectively.

          Entitas induk langsung dari Entitas Induk                            The Parent Entity’s immediate parent
          adalah Malacca Trust Pte. Ltd., sedangkan                            company is Malacca Trust Pte. Ltd., and its
          entitas induk utama dari Entitas Induk                               ultimate parent company is Star Malacca
          adalah Star Malacca Pte. Ltd., yang                                  Pte. Ltd., both are incorporated and
          keduanya didirikan dan berdomisili di                                domiciled in Singapore.
          Singapura.

          Manajemen bertanggung jawab atas                                     Management is responsible for the
          penyusunan dan penyajian wajar laporan                               preparation and fair presentation of these
          keuangan konsolidasian ini, sesuai dengan                            consolidated financial statements, in
          Standar Akuntansi Keuangan di Indonesia,                             accordance with Indonesian Financial
          yang diselesaikan dan disetujui untuk                                Accounting    Standards,    which    were
          diterbitkan oleh Direksi Perusahaan pada                             completed and authorized for issuance by
          tanggal 28 Oktober 2024.                                             the Company’s Directors on October 28,
                                                                               2024.

                                                          13
Page 18
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                          1.       GENERAL (Continued)

     b.   Penawaran Saham Umum Perusahaan dan                          b.     Public Offering of the Company’s Shares
          Aksi Korporasi Lainnya                                              and Other Corporate Actions
          Pada tanggal 27 Juni 2014, Entitas Induk                            On June 27, 2014, the Parent Entity obtained
          memperoleh pernyataan efektif dari Otoritas                         effective statement letter from the Financial
          Jasa Keuangan (OJK) berdasarkan Surat                               Services     Authority     (OJK)     No.    S-
          No. S-310/D.04/2014 untuk melakukan                                 310/D.04/2014 to undertake an Initial Public
          Penawaran Umum Perdana Saham kepada                                 Offering of 150,000,000 Ordinary Shares
          masyarakat sejumlah 150.000.000 lembar                              coming from new shares of unsubscribed
          Saham Biasa Atas Nama yang berasal dari                             shares and divestment of founder’s shares
          saham baru dari portepel dan divestasi saham                        each amounting to 75,000,000 shares, with
          pendiri masing-masing 75.000.000 lembar                             par value of Rp 100 per share, and offering
          saham dengan nilai nominal Rp 100 per                               price of Rp 500 per share. On July 8, 2014,
          saham dan harga penawaran Rp 500 per                                the Parent Entity has listed all its shares in
          saham. Pada tanggal 8 Juli 2014, Entitas                            Indonesia Stock Exchange.
          Induk telah mencatatkan seluruh sahamnya di
          Bursa Efek Indonesia.
          Sesuai dengan Akta Berita Acara Rapat                               In accordance with Deed of Extraordinary
          Umum Pemegang Saham Luar Biasa No.                                  Shareholders Meeting No. 243 dated
          243 pada tanggal 31 Juli 2019 dari Christina                        July 31, 2019 of Christina Dwi Utami, S.H.,
          Dwi Utami, S.H., M.Hum., M.Kn., Notaris                             M.Hum., M.Kn., Notary in Jakarta, the
          di Jakarta, pemegang saham menyetujui                               shareholders of the Parent Entity approved
          Penambahan Modal Tanpa Memberikan Hak                               the Capital Increase with Pre-emptive Rights
          Memesan        Efek     Terlebih     Dahulu                         (PMTHMETD) with maximum of 48,213,762
          (PMTHMETD)              sebanyak-banyaknya                          shares with par value of Rp 100 per share
          48.213.762 dengan nilai nominal Rp 100 per                          and offering price of Rp 6,500 per share,
          saham dan harga pelaksanaan Rp 6.500 per                            which were all acquired by PT Batavia
          saham, yang diambil seluruhnya oleh                                 Prosperindo Makmur. Capital investment
          PT     Batavia      Prosperindo     Makmur.                         carried out through inbreng, consists of
          Penyetoran saham baru dilakukan dengan                              659,767,280 shares of PT Batavia
          inbreng, yaitu berupa 659.767.280 saham PT                          Prosperindo Finance Tbk. These changes
          Batavia     Prosperindo     Finance    Tbk.                         have received approval from the Minister of
          Perubahan tersebut telah memperoleh                                 Law and Human Rights of the Republic of
          persetujuan dari Menteri Hukum dan Hak                              Indonesia based on the Letter of Acceptance
          Asasi    Manusia      Republik     Indonesia                        of Notification of Amandments to the Articles
          berdasarkan         Surat        Penerimaan                         of Association AHU-AH.01.03-0322512 dated
          Pemberitahuan Perubahan Anggaran Dasar                              29 August 2019.
          AHU-AH.01.03-0322512          Tanggal     29
          Agustus 2019.

          Pada tanggal 24 Mei 2019, Entitas Induk                             On May 24, 2019, the Parent Entity has
          telah memperoleh persetujuan pencatatan                             obtained the registration approval from
          dari Bursa Efek Indonesia melalui surat No.                         Indonesia Stock Exchange through its letter
          S-02983/BEI.PP2/05- 2019.                                           No. S-02983/BEI.PP2/05-2019.




                                                         14
Page 19
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                        1.       GENERAL (Continued)

     b.   Penawaran Saham Umum Perusahaan dan                        b.     Public Offering of the Company’s Shares
          Aksi Korporasi Lainnya                                            and Other Corporate Actions

          Berdasarkan Berita Acara Rapat Umum                               Based on the Minutes Deed of Extraordinary
          Pemegang Saham Luar Biasa yang                                    General Meeting of Shareholder as notarized
          diaktakan dalam Akta No. 52 tanggal 4                             by    Notarial    Deed     No.   52     dated
          Maret 2021 oleh Christina Dwi Utami, S.H.,                        March 4, 2021 made by Christina Dwi Utami,
          M.Hum., M.Kn., Notaris di Jakarta Barat,                          SH, M.Hum., M.Kn., Notary in West Jakarta,
          para pemegang saham Entitas Induk                                 the Parent Entity agree to buyback the Parent
          menyetujui untuk melakukan pembelian                              Entity's shares in accordance with Financial
          kembali saham Entitas Induk sesuai dengan                         Services         Authority        Regulation
          Peraturan Otoritas Jasa Keuangan No.                              No. 30/POJK.04/2017 regarding the Share
          30/POJK.04/2017      tentang    Pembelian                         Buyback of Shares Issued by Public
          Kembali Saham yang Dikeluarkan oleh                               Companies.
          Perusahaan Terbuka.

          Berdasarkan Akta Pernyataan Keputusan                              Based on the Deed of Meeting Resolution
          Rapat yang dikatakan dalam Akta No.95                              Statement stated in Deed No.95 dated 16
          tanggal 16 April 2024 oleh Christina Dwi                           April 2024 by Christina Dwi Utami, S.H.,
          Utami, S.H., M.Hum, M.Kn., Notaris di                              M.Hum, M.Kn., Notary in West Jakarta, the
          Jakarta Barat, para pemegang saham Entitas                         shareholders of the parent entity agreed to
          induk    menyetujui     untuk   melakukan                          split the nominal value of shares with a
          pemecahan nilai nominal saham dengan
                                                                             ratio of 1 :20 (one to twenty) from
          rasio 1:20 (satu banding dua puluh) dari
                                                                             previously IDR 100.00 per share to IDR
          sebelumnya Rp 100,00 per saham menjadi
          Rp 5,00 per saham guna memenuhi                                    5.00 per share in order to comply with
          Peraturan Bursa no. I-A Tahun 2021 tanggal                         Exchange Regulation no. I-A 2021 dated 21
          21 Desember 2021 mengenai pemenuhan                                December 2021 regarding the fulfillment of
          saham Free float. Perubahan tersebut telah                         Free float shares. These changes have
          memperoleh persetujuan dari Menteri                                received approval from the Minister of Law
          Hukum dan Hak Asasi Manusia Republik                               and Human Rights of the Republic of
          Indonesia berdasarkan Surat Keputusan No.                          Indonesia based on Decree No. AHU-
          AHU-AH.01.03-0086964 tanggal 17 April                              AH.01.03-0086964 dated April 17, 2024.
          2024.




                                                       15
Page 20
                                                                                                The original consolidated financial statements included herein are in
                                                                                                                                                 Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                        PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                          (Expressed in Rupiah, unless otherwise stated)


1.      UMUM (Lanjutan)                                                                    1.        GENERAL (Continued)

        c.        Struktur Grup                                                                      c.         The Group Structure

                  Rincian entitas anak Grup pada akhir 30                                                       Details of the Group’s subsidiary at
                  September 2024 dan 31 Desember 2023                                                           September 30, 2024 and December 31,
                  adalah sebagai berikut:                                                                       2023 of the reporting period are as
                                                                                                                follows:
                                                                                                        Persentase             Tahun operasi
                                                                                                    kepemilikan efektif/         komersial/           Jumlah aset/
                                                                                                         Effective                Start of             Total assets
             Entitas anak/           Domisili/               Jenis usaha/                              percentage of            commercial       (dalam Jutaan Rupiah/
              subsidiary             Domicile              Nature of business                           ownership               operations        in Millions of Rupiah)

                                                                                                 30 Sept 2024    31 Des 2023                   30 Sept 2024      31 Des 2023

Dimiliki langsung oleh Entitas
Induk/ Held directly by
the Parent Entity

PT Batavia Prosperindo Aset                                Manajer Investasi/
Manajemen (BPAM)                      Jakarta           Investment Management                      82,08%          82,08%          1996               204.360        224.566


PT Batavia Prosperindo Sekuritas                 Aktivitas Konsultasi Manajemen Lainnya/
(BPS)                                 Jakarta    Other Management Consulting Activities            99,99%          99,99%          1999                10.522              3.738

                                                            Jasa Transportasi/
PT Batavia Prosperindo Trans Tbk                             Transportation
(BPT)                                 Jakarta                    Service                           67,40%          65,77%          2015             1.919.048       1.528.540

PT Malacca Trust Wuwungan
Insurance Tbk (MTWI)                  Jakarta      Asuransi Umum/ General Insurance                87,27%          86,86%          1953             1.692.099       1.627.393

                                                       Jasa Konsultasi Manajemen/
Batavia Prosperindo Pte., Ltd.,      Singapura       Consultant Management Services                 100%           100%            2023               439.047        411.288


Dimiliki melalui MTWI/ Held
through MTWI

PT Batavia Prosperindo Properti
(BPP)                                 Jakarta              Properti / Property                     99,99%          99,99%          2015                 8.602              8.647

Dimiliki melalui BPT/ Held
through BPT

PT Batavia Prosperindo Ecotrans      Tangerang             Jasa Transportasi/
(BPE)                                 Selatan            Transportation Service                    99,00%          99,00%          2023                132,23         137,56

Dimiliki melalui BPD/ Held
through BPD
                                                       Jasa Konsultasi Manajemen/
Strait Pristine Resources Pte. Ltd   Singapura       Consultant Management Services                50,00%          50,00%          2018               202.897        150.749

Dimiliki melalui SPRL/ Held
through SPRL
Sweet Green Singapore Pte. Ltd       Singapura          Agribisnis/ Agribusiness                   86,60%          83,89%          2020               218.138        166.664

Dimiliki melalui SGS/ Held
through SGS
Sweet Green Indonesia                 Jakarta           Agribisnis/ Agribusiness                   99,99%          99,99%          2021               267.707        206.454




                                                                                   16
Page 21
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                          1.       GENERAL (Continued)

     c.   Struktur Grup (Lanjutan)                                     c.     The Group Structure (Continued)

          PT Batavia Prosperindo Aset Manajemen                               PT Batavia Prosperindo Aset Manajemen
          (BPAM)                                                              (BPAM)
          Entitas Induk memiliki secara langsung                              The Parent Entity has direct ownership of
          82,08% saham BPAM, Entitas Anak, yang                               82.08% in BPAM, Subsidiary, which is
          bergerak dalam bidang manajer investasi.                            engaged in investment manager. BPAM,
          BPAM, Entitas Anak, berdomisili di Jakarta                          Subsidiary, is domiciled in Jakarta and
          dan mulai beroperasi komersial pada tahun                           started its commercial operations in 1996.
          1996.
          Berdasarkan keputusan direksi BPAM,                                 Based on the decision of the director of
          Entitas Anak, pada tanggal 23 Juli 2018,                            BPAM, Subsidiary, on July 23, 2018, the sale
          penjualan saham milik Alexander Sri Agung,                          of shares owned by Alexander Sri Agung,
          Direktur BPAM, Entitas Anak, sebanyak                               Director of BPAM, Subsidiary, amounted to
          3.899     saham     atau   setara   dengan                          3,899     shares     or      equivalent   to
          Rp 1.949.500.000 telah disetujui dan dicatat                        Rp 1,949,500,000 had been approved and
          sebagai treasury shares.                                            recorded as treasury shares.

          Berdasarkan akta Notaris No. 18 tanggal                             Based on Notarial Deed No. 18 dated
          29 September 2020, yang dibuat Notaris                              September 29, 2020 of Yoke Reinata, S.H.,
          Yoke Reinata, S.H., M.Kn., Notaris di                               M.Kn., Notary in Tangerang, BPAM,
          Tangerang, BPAM, Entitas Anak, menjual                              Subsidiary, sold 1,462 treasury shares to
          1.462 saham treasuri kepada Rinaldi Lukita                          Rinaldi Lukita Handaya for Rp 1,648,733,345
          Handaya seharga Rp 1.648.733.345 dan 975                            and 975 treasury shares to Prihatmo Hari
          saham treasuri kepada Prihatmo Hari                                 Mulyanto for Rp 1,099,531,471, or a total
          Mulyanto seharga Rp 1.099.531.471, atau                             amount of Rp 2,748,264,816, hence the
          total senilai Rp 2.748.264.816, sehingga                            Parent Entity’s ownership in BPAM became
          kepemilikan Entitas Induk pada BPAM                                 83.33%.
          menjadi sebesar 83,33%.
          Berdasarkan akta Notaris No. 07 tanggal                             As stated in Notarial Deed No. 07 dated July
          14 Juli 2021, yang dibuat Notaris Yoke                              14, 2021 of Yoke Reinata, S.H., M.Kn.,
          Reinata, S.H., M.Kn., Notaris di Tangerang,                         Notary     in   Tangerang, PT       Batavia
          PT Batavia Prosperindo Aset Manajemen,                              Prosperindo Aset Manajemen, Subsidiary,
          Entitas Anak, menjual 1.462 saham treasuri                          sold 1,462 treasury shares to all
          kepada semua pemegang saham dengan total                            shareholders, or a total amount of
          senilai Rp 1.815.178.585, dimana Entitas                            Rp 1,815,178,585, which the Parent Entity
          Induk mengambil bagian sebesar 1.218                                subscribes for 1,218 shares worth
          saham senilai Rp 1.512.234.963, sehingga                            Rp 1,512,234,963, hence the Parent Entity’s
          kepemilikan Entitas Induk pada BPAM,                                ownership in BPAM became 83.33%.
          Entitas Anak, menjadi sebesar 83,33%.

          Berdasarkan akta Notaris No.03 tanggal 16                           Based on Notarial deed No. 03 dated October
          Oktober 2023 yang dibuat oleh Yuli Rizki                            16, 2023 has made by Yuli Rizki
          Anggorowati, S.H., M.Kn., Notaris di Depok,                         Anggorowati, S.H., M.Kn., Notary in Depok,
          perseroan menjual sebanyak 731 lembar                               the company sold 731 shares yo Mr. Fadil
          saham kepada Tuan Fadil Kencana dan 487                             Kencana and 487 shares to Eri Kusnadi, a
          lembar saham kepada Eri Kusnadi, Entitas                            subsidiary, to 79,998 shares or 87.08%
          Anak, menjadi 79.998 lembar saham atau
          sebesar 82,08%.
                                                         17
Page 22
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


1.    UMUM (Lanjutan)                                            1.       GENERAL (Continued)
     c.   Struktur Grup (Lanjutan)                                        c.      The Group Structure (Continued)
          PT Batavia Prosperindo Sekuritas (BPS)                                  PT Batavia Prosperindo Sekuritas (BPS)
          Entitas Induk memiliki secara langsung                                  The Parent Entity has direct ownership of
          99,99% saham BPS, Entitas Anak, yang                                    99.99% in BPS, Subsidiary, which is engaged
          bergerak sebagai perantara perdagangan efek                             in securities brokerage and underwriting of
          dan penjamin emisi efek. BPS, Entitas Anak,                             securities. BPS, Subsidiary, is domiciled in
          berdomisili di Jakarta dan mulai beroperasi                             Jakarta and started its commercial operations
          komersial pada tahun 1999.                                              in 1999.
          Berdasarkan Akta Notaris Lady Ita Larosa                                Based on Notarial Deed No. 1 of Lady Ita
          Boru Simanihuruk, S.H., No. 1 pada tanggal 1                            Larosa Boru Simanihuruk, S.H., dated
          September 2015, pemegang saham BPS,                                     September 1, 2015, BPS’s, Subsidiary,
          Entitas Anak, menyetujui pengurangan modal                              shareholders approved the decrease in issued
          ditempatkan dan disetor dari sebesar                                    and paid in capital from Rp 118,858,600,000
          Rp     118.858.600.000    menjadi     sebesar                           to Rp 80,000,000,000, so the shares of the
          Rp 80.000.000.000, sehingga saham Entitas                               Parent       Entity       changed       from
          Induk semula Rp 118.858.500.000 menjadi                                 Rp118,858,500,000 to Rp 79,999,900,000. The
          sebesar Rp 79.999.900.000. Akta tersebut telah                          deed was approved by the Ministry of Law and
          disahkan oleh Menteri Kehakiman Republik                                Human Rights of the Republic of Indonesia in
          Indonesia melalui Surat Keputusan No. AHU-                              its    Decision      Letter    No.     AHU-
          0945165.AH.01.02. Tahun 2015 tanggal 3                                  0945165.AH.01.02.Tahun        2015     dated
          November 2015.                                                          November 3, 2015.
          Berdasarkan Akta Notaris Yuli Rizki                                     Based on Notarial Deed No. 9 of Yuli Rizki
          Anggorowati S.H., M.Kn., No. 9 pada tanggal                             Anggorowati       S.H.,     M.Kn.,      dated
          24 Juni 2022, pemegang saham BPS, Entitas                               June 24,2022, BPS’s, Subsidiary, shareholders
          Anak, menyetujui pengurangan modal                                      approved the decrease in issued and paid in
          ditempatkan dan disetor dari sebesar                                    capital from Rp 80,000,000,000 to Rp
          Rp     80.000.000.000    menjadi     sebesar                            9,000,000,000, so the shares of the Parent
          Rp 9.000.000.000, sehingga saham Entitas                                Entity             changed               from
          Induk semula Rp 79.999.900.000 menjadi                                  Rp 79,999,900,000 to Rp 8,999,900,000. The
          sebesar Rp 8.999.900.000. Akta tersebut telah                           deed was approved by the Ministry of Law and
          disahkan oleh Menteri Kehakiman Republik                                Human Rights of the Republic of Indonesia in
          Indonesia      melalui  Surat     Keputusan                             its      Decision       Letter      No.AHU-
          No. AHU-0054789.AH.01.02. TAHUN.2022                                    0054789.AH.01.02.TAHUN.2022             dated
          tanggal 31 Juli 2022.                                                   July 31, 2022.
          Berdasarkan akta Notaris No. 05 tanggal 19                              Based on Notarial deed No.05 dated July 19,
          Juli 2024, yang dibuat oleh Lidia Maria Sihite,                         2024, made by Lidia Maria Sihite, S.H.,
          S.H., M.Kn., Notaris di Purwakarta, Perseroan                           M.Kn., Notary in Purwakarta, the Company
          melakukan pengembalian ijin Perusahaan Efek                             voluntarily returned the license of the
          sebagai Peratara Pedagangan Efek yang Tidak                             Securities Company as a Securities trading
          Mengadministrasikan Rekening Efek Nasabah                               Broker that doesn’t Administer Customer
          (PPE) secara sukarela kepada Otoritas Jasa                              Securities Account (PPE) to the Financila
          Keuangan (OJK) dan melakukan perubahan                                  Services Authority (OJK) and amend Article 3
          Pasal 3 Anggaran Dasar Perseroan mengenai                               of the Company’s Articles of Association
          Maksud dan Tujuan serta Kegiatan Bidang                                 regarding the Aims and Objectives and
          Usaha Perseroan, menjadi Aktivitas Konsultasi                           Activities of the Company’s Business Sector, to
          Manajemen Lainnya (KBLI 70209).                                         become Other Management Consulting
                                                                                  Activities (KBLI 70209)

                                                            18
Page 23
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                          1.       GENERAL (Continued)

     c.   Struktur Grup (Lanjutan)                                     c.     The Group Structure (Continued)

          PT Batavia Prosperindo Trans Tbk (BPT)                              PT Batavia Prosperindo Trans Tbk (BPT)
          (Lanjutan)                                                          (Continued)
          Entitas Induk memiliki secara langsung                              The Parent Entity has direct ownership of
          67,40% saham BPT, Entitas Anak, yang                                67,40% in BPT, Subsidiary, which is engaged
          bergerak sebagai penyewaan dan sewa guna                            in rental and lease without purchase options
          usaha tanpa hak opsi mobil, bus, truk dan                           for car, bus, truck and the similar,
          sejenisnya, konsultasi transportasi dan                             transportation consultation and rental
          angkutan sewa. BPT, Entitas Anak,                                   transportation. BPT, Subsidiary, is domiciled
          berdomisili di Jakarta dan mulai beroperasi                         in Jakarta and started its commercial
          komersial pada tahun 2015.                                          operations in 2015.

          Berdasarkan Perjanjian Jual Beli Saham                              Based on Share Sale and Purchase
          Entitas Induk dan PT Batavia Prosperindo                            Agreement of Parent Entity and PT Batavia
          Makmur (BPM) dan Malacca Trust Pte Ltd                              Prosperindo Makmur (BPM) and Malacca
          (MTL) tertanggal 17 Juni 2019, Entitas Induk                        Trust Pte Ltd (MTL) dated June 17, 2019,
          menerima pengalihan dari BPM atas                                   Parent Entity received transfer of shares from
          502.141.000 saham BPT, Entitas Anak,                                BPM of 502,141,000 of BPT, Subsidiary,
          senilai Rp 35.149.870.000 dan dari MTL atas                         shares amounting to Rp 35,149,870,000 and
          223.500.000 saham BPT, Entitas Anak,                                from MTL of 223,500,000 shares amounting
          senilai Rp 15.645.000.000. Kepemilikan                              to Rp 15,645,000,000. Parent Entity’s
          Entitas Induk pada BPT menjadi 74,70%,                              ownership in BPT, Subsidiary, became
          sehingga BPT, Entitas Anak, dikonsolidasi                           74.70%, hence BPT, Subsidiary, was
          oleh Entitas Induk.                                                 consolidated by Parent Entity.

          Pada tahun 2020, Entitas Induk membeli                              In 2020, the Parent Entity purchased
          saham BPT, Entitas Anak, dengan total                               additional shares in BPT, Subsidiary, with a
          10.000.000 saham senilai Rp 950.408.500,                            total of 10,000,000 shares amounting to
          yang meningkatkan kepemilikan Entitas                               Rp 950,408,500, causing the Parent Entity’s
          Induk terhadap BPT menjadi 75,34%.                                  ownership on BPT, Subsidiary, to become
                                                                              75.34%.

          Pada tahun 2021, Entitas Induk menjual                              In 2021, the Parent Entity sold BPT,
          saham BPT, Entitas Anak, sejumlah                                   Subsidiary, shares of 6,119,900 shares
          6.119.900 saham senilai Rp 444.090.818                              amounting to Rp 444,090,818 with selling
          dengan harga jual sebesar Rp 2.303.114.700                          price of Rp 2,303,114,700, therefore the
          sehingga kepemilikan Grup di BPT, Entitas                           Group’s ownership in BPT, Subsidiary, as at
          Anak, pada tanggal 31 Desember 2021                                 December 31, 2021 became 74.95%.
          menjadi sebesar 74,95%.

          Pada tahun 2022, Entitas Induk menjual                              In 2022, the Parent Entity sold BPT,
          saham BPT, Entitas Anak, sejumlah                                   Subsidiary, shares of 26,350,000 shares
          26.350.000 saham senilai Rp 1.912.088.930                           amounting to Rp 1,912,088,930 with selling
          dengan harga jual sebesar Rp 10.540.000.000                         price of Rp 10,540,000,000, therefore the
          sehingga kepemilikan Grup di BPT, Entitas                           Group’s ownership in BPT, Subsidiary, as at
          Anak, pada tanggal 31 Desember 2022                                 December 31, 2022 became 73.25%.
          menjadi sebesar 73,25%.



                                                         19
Page 24
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                         1.       GENERAL (Continued)

     c.   Struktur Grup (Lanjutan)                                    c.     The Group Structure (Continued)

          PT Batavia Prosperindo Trans Tbk (BPT)                             PT Batavia Prosperindo Trans Tbk (BPT)
          (Lanjutan)                                                         (Continued)

          Pada tanggal 11 Januari 2023, BPT, Entitas                         On January 11, 2023, BPT, Subsidiary,
          Anak, melakukan penawaran Umum Terbatas                            conducted a Limited Public Offering (PUT) I
          (PUT) I kepada pemegang saham dalam                                through pre-emptive rights (HMETD) of
          rangka penerbitan Hak Memesan Efek                                 1,984,000,000 shares with par value of Rp
          Terlebih     Dahulu      (HMETD)       atas                        100 per share. Every shareholder who owns
          1.984.000.000 lembar saham dengan nilai                            25 old shares owned 32 rights, in which every
          nominal Rp 100 per saham. Di mana setiap                           1 HMETD entitles the holder to purchase 1
          pemegang saham yang memiliki 25 saham                              new share with the offering price Rp 100 per
          lama mempunyai 32 HMETD, setiap 1                                  share that should be paid in full at the time of
          HMETD       memberikan      hak     kepada                         ordering the execution of HMETD.
          pemegangnya untuk membeli saham baru
          dengan harga pelaksanaan Rp 100 yang harus
          dibayar penuh pada saat mengajukan pesanan
          pelaksanaan HMETD.

          Berdasarkan pengumuman PT Bursa Efek                               Based on the announcement of PT Bursa
          Indonesia No. S-00594/BEI.PP2/01-2023                              Efek Indonesia No. S-00594/BEI.PP2/01-
          tanggal 17 Januari 2023, jumlah saham yang                         2023 dated January 17, 2023, the total of the
          telah dikeluarkan dalam rangka PUT I adalah                        BPT’s, Subsidiary, shares issued related to
          sebesar 1.984.000.000 saham, sehingga                              PUT I amounted to 1,984,000,000 shares,
          jumlah saham yang dicatatkan di Bursa Efek                         therefore, the total of the shares listed in the
          Indonesia adalah sebanyak 3.534.000.000                            Indonesia Stock Exchange amounted to
          saham dengan jumlah nilai sebesar                                  3,534,000,000        shares   equivalent      to
          Rp 353.400.000.000. Sehubungan dengan                              Rp 353,400,000,000 in relation with this PUT
          PUT      I,    sampai     dengan    tanggal                        I until December 31, 2022, BPT, Subsidiary,
          28 Februari 2023, BPT, Entitas Anak, telah                         has received Rp198,400,000,000 from the
          menerima sebesar Rp 198.400.000.000 dari                           BPT’s, Subsidiary, shareholders. The results
          pemegang saham BPT, Entitas Anak. Dana                             of PUT I were used for repayment of lease
          dari hasil PUT I digunakan untuk                                   liabilities, vehicle repair and acquisition of
          pembayaran liabilitas sewa, perbaikan                              new vehicle.
          kendaraan dan pembelian kendaraan baru.

          Sehubungan kejadian di atas, kepemilikan                           In connection with the above-mentioned, the
          Entitas Induk pada BPT, Entitas Anak,                              Parent Entity's ownership in BPT, Subsidiary,
          menjadi sebesar 67,40%.                                            became 67.40%.




                                                        20
Page 25
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                          1.       GENERAL (Continued)

     c.   Struktur Grup (Lanjutan)                                     c.     The Group Structure (Continued)

          PT Batavia Prosperity Ecotrans                                      PT Batavia Prosperity Ecotrans

          Perusahaan memiliki secara langsung 99,00%                          The Company has direct ownership of 99.00%
          saham BPE, entitas anak, yang bergerak                              in BPE, a subsidiary, which is engaged in
          sebagai penyewaan dan sewa guna usaha                               rental and lease without purchase options for
          tanpa hak opsi alat transportasi darat bukan                        landed transportation of motorized vehicle
          kendaraan bermotor roda empat atau lebih.                           without four or more wheels. BPE, a
          BPE, entitas anak, berdomisili di Tangerang                         subsidiary, is domiciled in South Tangerang
          Selatan dan belum beroperasi komersial pada                         and not started its commercial operations as at
          tanggal 30 Desember 2023.                                           December 30, 2023.

          PT Malacca Trust Wuwungan Insurance Tbk                             PT Malacca Trust Wuwungan Insurance Tbk
          (MTWI)                                                              (MTWI)

          Entitas Induk memiliki secara efektif 87,27%                        The Parent Entity has effective ownership of
          saham MTWI, Entitas Anak, yang bergerak                             87.27% in MTWI, Subsidiary, which is
          dalam bidang asuransi umum. MTWI, Entitas                           engaged in general insurance. MTWI,
          Anak, berdomisili di Jakarta dan mulai                              Subsidiary, is domiciled in Jakarta and
          beroperasi komersial pada tahun 1953.                               started its commercial operations in 1953.

          Pada tanggal 31 Desember 2018, WFI,                                 As at December 31, 2018, WFI, Subsidiary,
          Entitas Anak, memiliki penyertaan pada                              has ownership in MTWI, Subsidiary,
          MTWI, Entitas Anak sebesar 241.938.250                              amounting to 241,938,250 shares or equal to
          saham atau      setara dengan     15,86%                            15.86% of MTWI, Subsidiary share
          kepemilihan saham MTWI, Entitas Anak.                               ownership.

          Sejak bulan September sampai dengan                                 From September to November 2019, the
          November 2019, Entitas Induk membeli                                Parent Entity bought 293,256,000 shares of
          saham MTWI, Entitas Anak, sejumlah                                  MTWI, Subsidiary, with aggregate amount of
          293.256.000 saham dengan nilai total Rp                             Rp 18,282,673,750. Therefore, the Parent
          18.282.673.750.    Sehingga kepemilikan                             Entity’s ownership in MTWI, Subsidiary
          Entitas Induk pada MTWI, Entitas Anak,                              became 31.01%.
          menjadi sebesar 31,01%.

          Sejak bulan Januari sampai dengan Juni 2020,                        From January to June 2020, the Parent
          Entitas Induk membeli saham MTWI, Entitas                           Entity bought 81,357,175 shares of MTWI,
          Anak, sejumlah 81.357.175 saham dengan                              Subsidiary, with aggregate amount of
          nilai total Rp 4.606.777.500. Sehingga                              Rp 4,606,777,500. Therefore the Parent
          kepemilikan Entitas Induk pada, MTWI,                               Entity’s ownership in MTWI, Subsidiary,
          Entitas Anak, menjadi sebesar 40,41%.                               became 40.41%.




                                                         21
Page 26
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                          1.       GENERAL (Continued)

     c.   Struktur Grup (Lanjutan)                                     c.     The Group Structure (Continued)

          PT Malacca Trust Wuwungan Insurance Tbk                             PT Malacca Trust Wuwungan Insurance Tbk
          (MTWI) (Lanjutan)                                                   (MTWI) (Continued)

          Pada tanggal 21 Juli 2020, Entitas Induk                            On July 21, 2020, MTWI, Subsidiary bought
          membeli saham MTWI, Entitas Anak,                                   672,873,783 shares from PT Batavia Prima
          sejumlah 672.873.783 saham dari PT Batavia                          Investama      with   purchase    price    of
          Prima       Investama     dengan      harga                         Rp 33,643,724,150, therefore the Parent
          Rp      33.643.724.150,    sehingga    total                        Entity’s total ownership in MTWI, Subsidiary,
          kepemilikan Entitas Induk pada MTWI,                                became 80.44%.
          Entitas Anak, menjadi sebesar 80,44%.

          Sehubungan dengan penjualan saham MTWI,                             In connection with the sale of shares of
          Entitas Anak, pada tahun 2021, akumulasi                            MTWI, Subsidiary, in 2021, the accumulated
          kepemilikan Entitas Induk pada MTWI,                                of the Parent Entity's ownership in MTWI,
          Entitas Anak, menjadi sebesar 80,42%.                               Subsidiary, became 80.42%.

          Pada tanggal 16 Desember 2022, MTWI,                                On December 16, 2022, MTWI, Subsidiary,
          Entitas Anak, memperoleh pernyataan efektif                         conducted a Limited Public Offering (PUT) I
          dari Otoritas Jasa Keuangan (OJK) untuk                             through pre-emptive rights (HMETD) of
          melakukan Penawaran Umum Terbatas                                   1,389,667,523 shares with par value of
          (PUT) I kepada pemegang saham dalam                                 Rp 100 per share. Every shareholder who
          rangka penerbitan Hak Memesan Efek                                  owns 12 old shares owned 11 rights, in which
          Terlebih     Dahulu      (HMETD)        atas                        every 1 HMETD entitles the holder to
          1.389.667.523 lembar saham dengan nilai                             purchase 1 new share with the offering price
          nominal Rp 100 per saham. Di mana setiap                            of Rp 100 per share that should be paid in
          pemegang saham yang memiliki 12 saham                               full at the time of ordering the execution of
          lama mempunyai 11 HMETD, setiap 1                                   HMETD were planned to utilized for working
          HMETD        memberikan     hak     kepada                          capital.
          pemegangnya untuk membeli saham baru
          dengan harga pelaksanaan Rp 100 yang harus
          dibayar penuh pada saat mengajukan pesanan
          pelaksanaan HMETD yang rencananya akan
          digunakan seluruhnya untuk modal kerja.

          Sampai dengan tanggal 31 Desember 2022,                             Until December 31, 2022 from conducting
          MTWI, Entitas Anak, telah mencatatkan                               PUT     I,   MTWI,     Subsidiary,    listed
          1.121.211.215 lembar saham atau sebesar                             1,121,211,215 shares or equivalent to
          Rp 112.121.121.500 dari pelaksanaan PUT I,                          Rp 112,121,121,500, therefore, the total of
          sehingga jumlah saham yang dicatatkan di                            the shares listed in the Indonesia Stock
          Bursa Efek Indonesia adalah sebanyak                                Exchange amounted to 2,647,030,331 shares
          2.647.030.331 lembar saham atau sebesar                             or equivalent to Rp 264,703,033,100.
          Rp 264.703.033.100. Dana yang diperoleh                             Proceeds received by MTWI, Subsidiary,
          MTWI, Entitas Anak, dari hasil PUT I sampai                         from PUT I, as at December 31, 2022
          dengan tanggal 31 Desember 2022 adalah                              amounted to Rp 112,121,121,500 and share
          sebesar Rp 112.121.121.500, serta beban                             issuance cost paid by MTWI, Subsidiary,
          emisi yang dikeluarkan Entitas Induk adalah                         amounted to Rp 1,381,433,376. In January
          sebesar Rp 1.381.433.376. Pada bulan Januari                        2023, MTWI, Subsidiary, received the
          2023, MTWI, Entitas Anak, menerima sisa                             remaining funds from PUT I.
          dana dari PUT I.
                                                         22
Page 27
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                           1.       GENERAL (Continued)

     c.   Struktur Grup (Lanjutan)                                      c.     The Group Structure (Continued)

          PT Malacca Trust Wuwungan Insurance Tbk                              PT Malacca Trust Wuwungan Insurance Tbk
          (MTWI) (Lanjutan)                                                    (MTWI) (Continued)

          Pada tahun 2022, Entitas Induk menjual                               In 2022, the Parent Entity sold MTWI,
          saham MTWI, Entitas Anak, sejumlah                                   Subsidiary, shares of 241,938,250 shares
          241.938.250 saham senilai Rp 3.608.194.565                           amounting to Rp 3.608.194.565 with selling
          dengan harga jual sebesar Rp 10.577.831.559.                         price of Rp 10,577,831,559.

          Sehubungan kejadian di atas, kepemilikan                             In connection with the above-mentioned, the
          Entitas Induk pada MTWI, Entitas Anak,                               Parent Entity's ownership in MTWI,
          menjadi sebesar 88,57%.                                              Subsidiary, became 88.57%.

          Sehubungan dengan Penawaran Umum                                     In relation with Limited Public Offering
          Terbatas (PUT) I, pada bulan Januari 2023                            (PUT) I, on January MTWI, Subsidiary, has
          MTWI,      Entitas Anak, telah menerima                              received Rp 27,745,630,800 from MTWI’s,
          sebesar Rp 27.745.630.800 dari pemegang                              Subisidary, shareholders, so that all share
          saham MTWI, Entitas Anak, sehingga                                   issued and fully paid become 2,647,030,331
          seluruh saham ditempatkan dan disetor penuh                          shares or amounted to Rp 264,703,033,100
          adalah sebanyak 2.647.030.331 saham atau                             therefore the Parent Entity’s total ownership
          sebesar Rp 264.703.033.100. sehingga total                           in MTWI, Subsidiary, became 86.86%.
          kepemilikan Entitas Induk pada MTWI,
          Entitas Anak, menjadi sebesar 86,86%.

          PT Batavia Prosperindo Properti (BPP)                                PT Batavia Prosperindo Properti (BPP)

          Entitas Induk memiliki kepemilikan efektif                           The Parent Entity has an effective ownership
          sebesar 80,41% pada BPP, yang bergerak                               of 80.41% in BPP, which is engaged in asset
          pada bidang jasa yang meliputi jasa                                  management consultation, building rental
          konsultasi pengelolaan aset, jasa perantara                          brokerage service and other services except
          sewa ruko, gedung dan bangunan lainnya                               for law and taxation. BPP, Subsidiary,
          serta usaha-usaha di bidang jasa kecuali jasa                        started its commercial operation in 2015.
          dalam bidang hukum dan pajak. BPP
          berdomisili di Jakarta dan mulai beroperasi
          komersial pada tahun 2015.

          Berdasarkan Akta Notaris No. 9 tanggal                              Based on Notarial Deed No. 9 dated October
          20 Oktober 2017, oleh Yoke Reinata, SH.,                            20, 2017 of Yoke Reinata, SH., Mkn., Notary in
          Mkn., Notaris di Tangerang, salah satu                              Tangerang, one of the shareholders of BPP
          pemegang saham BPP menyetujui pengalihan                            agreed to transfer its ownership to MTWI,
          seluruh saham kepada MTWI, Entitas Anak,                            Subsidiary, amounting to 129,999 shares or
          sebanyak 129.999 lembar saham atau setara                           equivalent to 99.99% ownership, with a
          dengan 99,99% kepemilikan, bernilai nominal                         nominal price of Rp 50,000 per share. MTWI,
          Rp 50.000 per lembar. MTWI, Entitas Anak,                           Subsidiary, acquired the shares for a purchase
          membeli saham dengan harga beli Rp                                  price of Rp 6,500,000,000.
          6.500.000.000.




                                                          23
Page 28
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                             1.       GENERAL (Continued)
     c.   Struktur Grup (Lanjutan)                                        c.     The Group Structure (Continued)

          PT Batavia Prosperindo Properti (BPP)                                  PT Batavia Prosperindo Properti (BPP)

          Selisih antara harga beli saham dan nilai buku                         The difference between the purchase price
          sebesar Rp 258.678.436 merupakan selisih                               and the book value amounting to
          transaksi     kombinasi       bisnis    entitas                        Rp 258,678,436 represents the difference
          sepengendali, dan dicatat sebagai bagian dari                          from business combination transaction
          “Tambahan modal disetor” pada laporan                                  between entities under common control, and
          perubahan ekuitas konsolidasian.                                       is recorded as part of “Additional paid-in
                                                                                 capital” in the consolidated statement of
                                                                                 changes in equity.
          Batavia Prosperindo Ptd., Ltd., (BPD)                                  Batavia Prosperindo Ptd., Ltd., (BPD)
          Entitas Induk memiliki secara langsung 100%                            The Parent Entity has direct ownership of
          saham BPD, Entitas Anak, yang bergerak                                 100% in BPD, Subsidiary, which is engaged
          sebagai perusahaan induk lainnya dan jasa                              as other holding company and consultant
          konsultasi manajemen. BPD, Entitas Anak,                               management services. BPD, Subsidiary, is
          berdomisili di Singapura dan mulai                                     domiciled in Singapore and started its
          beroperasi komersial pada tahun 2023.                                  commercial operations in 2023.

          Pada tanggal 6 Januari 2023, Entitas Induk                             On January 6, 2023, the Parent Entity
          melakukan investasi BPD, Entitas Anak,                                 invested 100 shares of BPD, Subsidiary, with
          sejumlah 100 saham dengan nilai total                                  aggregate amount of Rp 1,163,841 or
          Rp 1.163.841 dengan kepemilikan sebesar                                equivalent to 100% ownership.
          100%.
          Pada tanggal 2 Mei 2023, Entitas Induk                                 On May 2, 2023, the Parent Entity has made
          melakukan penambahan investasi BPD,                                    additional investment of BPD, Subsidiary,
          Entitas Anak, sejumlah SGD 35.786.866 atau                             with aggregate amount of SGD 35,786,866 or
          setara dengan Rp 384.727.282.206 dengan                                equivalent to Rp 384,727,282,206 with 100%
          kepemilikan sebesar 100%.                                              ownership.
          Pada tanggal 19 Agustus 2024, Entitas Induk                            On August 19, 2024, the Parent Entity has
          melakukan penambahan investasi BPD,                                    made additional investment of BPD, with
          sejumlah SGD 1.678.540 atau setara dengan                              amount of SGD 1,678,540 or equivalent to Rp
          Rp     20.000.000.000,    sehingga     total                           20,000,000,000, thus the total investment is
          keseluruhan    investasi   sebesar     SGD                             SGD 37,465,406 or equivalent to Rp
          37.465.406 atau setara dengan Rp                                       404,727,282,206, with 100% ownership.
          404.727.282.206 dengan kepemilikan sebesar
          100%.

          Strait Pristine Resources Pte Ltd                                      Strait Pristine Resources Pte Ltd

          Entitas Induk memiliki kepemilikan efektif                             The Parent Entity has effective ownership of
          50% saham SPRL, Entitas Anak berdomisili                               50% in SPRL, Subsidiary Entity, which is
          di Singapura dan bergerak dibidang jasa                                domiciled in Singapore and engaged
          konsultasi manajemen.                                                  consultant management service.




                                                            24
Page 29
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


1.   UMUM (Lanjutan)                                           1.       GENERAL (Continued)
     c.   Struktur Grup (Lanjutan)                                      c.     The Group Structure (Continued)
          Strait Pristine Resources Pte Ltd                                    Strait Pristine Resources Pte Ltd
          Pada tanggal 2 Oktober 2023 dan                                      On October 2, 2023 and October 31, 2023
          31 Oktober 2023, Entitas Anak (BPD)                                  the Subsidiary Entity (BPD) invested in
          melakukan investasi SPRL, masing-masing                              SPRL, each amount of SGD 5,000 and SGD
          sebesar SGD 5.000 dan SGD 6.395.000,-.                               6,395,000, and on June 28, 2024, the
          Pada tanggal 28 Juni 2024, Entitas Anak                              subsidiary entity (BPD) increase investment
          (BPD) meningkatkan investasi SPRL sebesar                            in SPRL which amount of SGD 755,010 thus
          SGD 755.010,- sehingga total investasi                               the total investment in SPRL is SGD
          sebesar SGD 7.155.010 atau setara dengan                             7,155,010 or equivalent to Rp 83,566,399,556
          Rp 83.566.399.556 dengan kepemilikan                                 with 50% ownership.
          sebesar 50%.
          Pada tanggal 4 September 2024, Entitas Anak                          On September 4, 2024, the Subsidiary Entity
          (BPD) melakukan penambahan investasi                                 (BPD) has additional investment in SPRL,
          SPRL, sebesar SGD 1.635.855 , sehingga                               with amount SGD 1,635,855,thus the total
          total investasi sebesar SGD 8.790.865 dengan                         investment is SGD 8,790,865 with 50%
          kepemilikan sebesar 50%.                                             ownership.
          Sweet Green Singapore Pte Ltd                                         Sweet Green Singapore Pte Ltd
          Entitas Induk memiliki kepemilikan efektif                           The Parent Entity has effective ownership of
          43,30% saham SGS, Entitas Anak,                                      43,.30% in SGS, Associate Entity, which is
          berdomisili di Singapura dan bergerak dalam                          domiciled in Singapore and engaged in
          bidang penanaman sayuran dan buah-buahan                             planting   of    vegetables     and    fruits
          (hidroponik).                                                        (hydroponics).
          Pada tanggal 2 November 2023, Entitas Anak                           On November 2, 2023 the Subsidiary Entity
          (SPRL) melakukan investasi SGS, dengan                               (SPRL) invested in the total investment is
          total investasi sebesar SGD 12.164.503 atau                          SGD 12,164,503 or equivalent to Rp
          setara dengan Rp 137.943.132.796 dengan                              137,943,132,796 with 83,89% ownership.
          kepemilikan sebesar 83,89%.
          Pada tanggal 16 September 2024, Entitas                              On September 16, 2023 the Subsidiary Entity
          Anak (SPRL) melakukan penambahan                                     (SPRL) has additional investment in SGS wit
          investasi SGS sebesar SGD 4.781.730,                                 amount of SGD 4,781,730, thus the total
          sehingga total investasi sebesar SGD                                 investment is 16,946,233 or equivalent to Rp
          16.946.233   atau setara dengan Rp                                   194,647,278.001 with 86,60% ownership.
          194.647.278.001 dengan kepemilikan sebesar
          86,60%.
          PT Sweet Green Indonesia                                               PT Sweet Green Indonesia
          Entitas Induk memiliki kepemilikan efektif                             The Parent Entity has effective ownership of
          43,30% saham SG1, Entitas Anak,                                        43,30% in SGI, Associate Entity, which is
          berdomisili di Jakarta dan bergerak di bidang                          domiciled in Jakarta and engaged in
          greenhouse agrikultur pada perkebunan                                  greenhouse agriculture of melon farms.
          melon.
          Pada tanggal 31 Desember 2023, Entitas                                 On December 31, 2023 the Subsidiary Entity
          Anak (SGS) melakukan investasi SGI,dengan                              (SGS) invested in the total investment is SGD
          total investasi sebesar SGD 13.653.774,88                              13,653,774.88 or equivalent to Rp
          atau setara dengan Rp 151.897.500.000                                  151,897,500,000 with 99,99% ownership.
          dengan kepemilikan 99,99%.
                                                          25
Page 30
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                AKUNTANSI              2.       INFORMATION       OF         MATERIAL
     MATERIAL (Lanjutan)                                                ACCOUNTING POLICIES (Continued)

     a.   Dasar Penyusunan Laporan Keuangan                             a.     Basis of Preparation of the Consolidated
          Konsolidasian                                                        Financial Statements

          Laporan keuangan konsolidasian PT Batavia                            The consolidated financial statements of
          Prosperindo Internasional Tbk dan Entitas                            PT Batavia Prosperindo Internasional Tbk
          Anaknya disusun dan disajikan berdasarkan                            and its Subsidiaries have been prepared in
          Standar Akuntansi Keuangan di Indonesia                              accordance and provided with Indonesian
          (SAK), yang mencakup Pernyataan Standar                              Financial Accounting Standards (“SAK”),
          Akuntansi Keuangan (PSAK) dan Interpretasi                           which comprise the Statement of Financial
          Standar Akuntansi Keuangan (ISAK) yang                               Accounting Standards (“PSAK”) and
          dikeluarkan oleh Dewan Standar Akuntansi                             Interpretations of Statement of Financial
          Keuangan Ikatan Akuntan Indonesia (DSAK-                             Accounting Standard (“ISAK”), issued by the
          IAI), serta peraturan regulator pasar modal                          Financial Accounting Standards Board of the
          untuk entitas yang berada di bawah                                   Indonesian Institute of Accountants (“DSAK-
          pengawasannya.                                                       IAI”), and the regulations of capital market
                                                                               regulator for entities under its control.

          Kebijakan akuntansi yang diterapkan dalam                            The accounting policies adopted in the
          penyusunan laporan keuangan konsolidasian                            preparation of the consolidated financial
          adalah selaras dengan kebijakan akuntansi                            statements are consistent with those made in
          yang diterapkan dalam penyusunan laporan                             the preparation of the Group’s consolidated
          keuangan konsolidasian Grup untuk tahun                              financial statements for the year ended
          yang        berakhir    pada       tanggal                           September 30, 2024, except for the adoption
          30 September 2024, kecuali bagi penerapan                            of several amended SAKs. As disclosed
          beberapa SAK yang telah direvisi. Seperti                            further in the relevant succeeding notes to the
          diungkapkan dalam catatan terkait atas                               consolidated financial statements, several
          laporan keuangan konsolidasian, beberapa                             amended and published accounting standards
          standar akuntansi yang telah direvisi dan                            were effective on January 1, 2024.
          diterbitkan, diterapkan efektif tanggal
          1 Januari 2024.

          Grup telah menyusun laporan keuangan                                 The Group has prepared the consolidated
          konsolidasian dengan dasar bahwa Grup akan                           financial statements on the basis that it will
          terus mempertahankan kelangsungan usaha.                             continue to operate as a going concern.

          Laporan keuangan konsolidasian, kecuali                              The consolidated financial statements, except
          untuk laporan arus kas konsolidasian, disusun                        for the consolidated statement of cash flows,
          berdasarkan      dasar    akrual      dengan                         have been prepared on the accrual basis
          menggunakan konsep harga perolehan,                                  using the historical cost basis of accounting,
          kecuali beberapa akun tertentu disusun                               except for certain accounts which are
          berdasarkan pengukuran lain sebagaimana                              measured on the bases described in the
          diuraikan dalam kebijakan akuntansi akun                             related accounting policies for those
          tersebut.                                                            accounts.




                                                          26
Page 31
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     a.   Dasar Penyusunan Laporan Keuangan                              a.     Basis of Preparation of the Consolidated
          Konsolidasian (Lanjutan)                                              Financial Statements (Continued)

          Laporan arus kas konsolidasian disusun                                The consolidated statement of cash flows is
          dengan menggunakan metode langsung                                    prepared based on the direct method by
          dengan mengelompokkan arus kas dalam                                  classifying cash flows on the basis of
          aktivitas operasi, investasi dan pendanaan.                           operating, investing, and financing activities.

          Untuk tujuan laporan arus kas konsolidasi,                            For the purpose of consolidated statement of
          kas dan setara kas terdiri dari kas dan setara                        cash flows, cash and cash equivalents
          kas, setelah dikurangi cerukan.                                       comprise cash and cash equivalents, net of
                                                                                overdrafts.

          Mata uang pelaporan yang digunakan dalam                              The presentation currency used in the
          penyusunan laporan keuangan konsolidasian                             preparation of the consolidated financial
          adalah Rupiah, yang merupakan mata uang                               statements is Rupiah, which is the Group’s
          fungsional Grup.                                                      functional currency.

          Untuk memberikan pemahaman yang lebih                                 In order to provide further understanding of
          baik atas kinerja keuangan Grup, karena sifat                         the financial performance of the Group, due
          dan jumlahnya yang signifikan, beberapa                               to the significance of their nature or amount,
          item pendapatan dan beban telah disajikan                             several items of income or expense have been
          secara terpisah.                                                      shown separately.

          Grup menyajikan laporan posisi keuangan                               The Group presents its consolidated
          konsolidasian bedasarkan likuiditas. Analisis                         statement of financial position in order of
          mengenai pemulihan atau penyelesaian dalam                            liquidity. An analysis in respect of recovery
          waktu 12 bulan setelah tanggal pelaporan                              or settlement within 12 months after the
          (saat ini) dan lebih dari 12 bulan setelah                            reporting date (current) and more than 12
          tanggal pelaporan (tidak lancar).                                     months after the reporting date (non-current).

     b.   Prinsip-prinsip Konsolidasian                                  b.     Principles of Consolidation

          Laporan keuangan konsolidasian meliputi                               The consolidated financial statements
          laporan keuangan konsolidasian Entitas Induk                          incorporate the consolidated financial
          dan entitasentitas yang dikendalikan secara                           statements of the Parent Entity and entities in
          langsung ataupun tidak langsung oleh Entitas                          which the Parent Entity has the ability to
          Induk.                                                                directly or indirectly exercise control.

          Laporan keuangan Entitas Anak disusun                                 The financial statements of the Subsidiaries
          dengan periode pelaporan yang sama dengan                             are prepared for the same reporting period as
          Entitas Induk. Kebijakan akuntansi yang                               the Parent Entity. The accounting policies
          digunakan dalam penyajian laporan keuangan                            adopted in preparing the consolidated
          konsolidasian telah diterapkan secara                                 financial statements have been consistently
          konsisten oleh Grup, kecuali dinyatakan lain.                         applied by the Group, unless otherwise
                                                                                stated.




                                                           27
Page 32
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                POLICIES (Continued)

     b.   Prinsip-prinsip Konsolidasian (Lanjutan)                      b.     Principles of Consolidation (Continued)

          Entitas-entitas Anak dikonsolidasi secara                            Subsidiaries are fully consolidated from the
          penuh sejak tanggal akuisisi, yaitu tanggal                          date of acquisition, being the date on which
          Entitas Induk memperoleh pengendalian,                               the Parent Entity obtains control, and
          sampai dengan tanggal Entitas Induk                                  continue to be consolidated until the date
          kehilangan     pengendalian.    Pengendalian                         when such control ceases. Control is
          dianggap ada ketika Entitas Induk memiliki                           presumed to exist if the Parent Entity owns,
          secara langsung ataupun tidak langsung                               directly or indirectly through its subsidiaries,
          melalui entitas-entitas anak, lebih dari                             more than half of the voting power of an
          setengah kekuasaan suara entitas.                                    entity.

          Secara spesifik, Grup mengendalikan investee                         Specifically, the Group controls an investee if
          jika dan hanya jika Grup memiliki seluruh hal                        and only if the Group has:
          berikut ini:

          a.   Kekuasaan atas investee (misal, hak                             a.     Power over the investee (i.e., existing
               yang ada memberikan kemampuan kini                                     rights that give it the current ability to
               untuk mengarahkan aktivitas relevan                                    direct the relevant activities of the
               investee);                                                             investee);
          b.   Eksposur atau hak atas imbal hasil                              b.     Exposure, or rights, to variable returns
               variabel dari keterlibatannya dengan                                   from its involvement with the investee;
               investee; dan                                                          and
          c.   Kemampuan      untuk     menggunakan                            c.     The ability to use its power over the
               kekuasaannya atas investee untuk                                       investee to affect its returns.
               mempengaruhi jumlah imbal hasil
               investor.

          Ketika Grup memiliki kurang dari hak suara                           When the Group has less than a majority of
          mayoritas, Grup dapat mempertimbangkan                               the voting or similar right of an investee, the
          semua fakta dan keadaan yang relevan dalam                           Group considers all relevant facts and
          menilai apakah memiliki kekuasaan atas                               circumstances in assessing whether it has
          investee tersebut:                                                   power over an investee, including:

          a.   Pengaturan kontraktual dengan pemilik                           a.     The contractual arrangement with the
               hak suara yang lain;                                                   other vote holders of the investee;
          b.   Hak yang timbul dari pengaturan                                 b.     Rights arising from other contractual
               kontraktual lain; dan                                                  arrangements; and
          c.   Hak suara dan hak suara potensial Grup.                         c.     The Group’s voting rights and potential
                                                                                      voting rights.




                                                          28
Page 33
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                   AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                    POLICIES (Continued)

     b.   Prinsip-prinsip Konsolidasian (Lanjutan)                          b.     Principles of Consolidation (Continued)

          Grup menilai kembali apakah investor                                     The Group re-assesses whether or not it
          mengendalikan investee jika fakta dan                                    controls an investee if facts and
          keadaan mengindikasikan adanya perubahan                                 circumstances indicate that there are changes
          terhadap satu atau lebih dari tiga elemen                                to one or more of the three elements of
          pengendalian. Konsolidasi atas entitas anak                              control. Consolidation of a subsidiary begins
          dimulai ketika Grup memiliki pengendalian                                when the Group obtains control over the
          atas entitas anak dan berhenti ketika Grup                               subsidiary and ceases when the Group loses
          kehilangan pengendalian atas entitas anak.                               control of the subsidiary. Assets, liabilities,
          Aset, liabilitas, penghasilan dan beban atas                             income and expenses of a subsidiary acquired
          entitas anak yang diakuisisi atau dilepas                                or disposed of during the period are included
          selama periode termasuk dalam laporan laba                               in the consolidated statement of profit or loss
          rugi dan penghasilan komprehensif lain                                   and other comprehensive income from the
          konsolidasian dari tanggal Grup memperoleh                               date the Group gains control until the date
          pengendalian sampai dengan tanggal Grup                                  the Group ceases to control the subsidiary.
          menghentikan pengendalian atas entitas anak.

          Laba atau rugi dan setiap komponen atas                                  Profit or loss and each component of other
          penghasilan komprehensif lain diatribusikan                              comprehensive income are attributed to the
          pada pemegang saham Entitas Induk dan                                    equity holders of the Parent Entity and to the
          pada Kepentingan Non-Pengendali (KNP),                                   non-controlling interest (NCI), even if this
          walaupun hasil di Kepentingan Non-                                       results in the NCI having a deficit balance.
          pengendali     mempunyai      saldo      defisit.                        Inter-company transactions, balances, and
          Transaksi antar perusahaan, saldo dan                                    unrealized gains and losses on transactions
          keuntungan serta kerugian yang belum                                     between Group companies are eliminated. All
          direalisasi dari transaksi antar Grup                                    intragroup assets and liabilities, equity,
          dieliminasi. Semua aset dan liabilitas, ekuitas,                         income, expenses and cash flows relating to
          penghasilan, beban dan arus kas berkaitan                                transactions between members of the Group
          dengan transaksi antar anggota Grup juga                                 are also eliminated in full on consolidation.
          akan dieliminasi secara penuh dalam proses                               When necessary, adjustments are made to the
          konsolidasi. Bila diperlukan, penyesuaian                                financial statements of subsidiaries to bring
          dilakukan pada laporan keuangan entitas anak                             their accounting policies in line with the
          agar kebijakan akuntansinya sesuai dengan                                Group’s accounting policies.
          kebijakan akuntansi Grup.

          Perubahan kepemilikan di Entitas Anak,                                   A change in the ownership interest of a
          tanpa kehilangan pengendalian, dihitung                                  Subsidiary, without a loss of control, is
          sebagai transaksi ekuitas. Jika Grup                                     accounted for as an equity transaction. If the
          kehilangan pengendalian atas Entitas Anak,                               Group loses control over a Subsidiary, it:
          maka Grup:

          a.    menghentikan        pengakuan       aset                           a.     derecognizes the assets (including
                (termasuk setiap goodwill) dan liabilitas                                 goodwill) and liabilities of the
                Entitas Anak;                                                             Subsidiaries;
          b.    menghentikan      pengakuan      jumlah                            b.     derecognizes the carrying amount of
                tercatat setiap KNP;                                                      any NCI;



                                                              29
Page 34
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     b.   Prinsip-prinsip Konsolidasian (Lanjutan)                       b.     Principles of Consolidation (Continued)

          c.   menghentikan pengakuan akumulasi                                 c.     derecognizes the cumulative translation
               selisih penjabaran, yang dicatat di                                     differences, recorded in equity, if any;
               ekuitas, bila ada;
          d.   mengakui nilai wajar pembayaran yang                             d.     recognizes the fair value of the
               diterima;                                                               consideration received;
          e.   mengakui setiap sisa investasi pada nilai                        e.     recognizes the fair value of any
               wajarnya;                                                               investment retained;
          f.   mengakui setiap perbedaan yang                                   f.     recognizes any surplus or deficit in the
               dihasilkan sebagai keuntungan atau                                      consolidated statement of profit or loss;
               kerugian dalam laporan laba rugi                                        and
               konsolidasian; dan
          g.   mereklasifikasi bagian Entitas Induk                             g.     reclassifies the Parent Entity’s share of
               atas komponen yang sebelumnya diakui                                    components previously recognized in
               sebagai penghasilan komprehensif lain                                   other comprehensive income to
               ke laporan laba rugi konsolidasian, atau                                consolidated statement of profit or loss
               mengalihkan secara langsung ke saldo                                    or retained earnings, as appropriate, as
               laba, begitu pula menjadi persyaratan                                   would be required if the Group had
               jika Grup akan melepas secara langsung                                  directly disposed of the related assets or
               aset atau liabilitas yang terkait.                                      liabilities.

          KNP mencerminkan bagian atas laba atau                                NCI represents the portion of the profit or
          rugi dan aset bersih dari entitas anak yang                           loss and net assets of the subsidiary not
          tidak dapat diatribusikan secara langsung                             attributable directly or indirectly to the
          maupun tidak langsung, pada Entitas Induk,                            Parent Entity, which are presented
          yang masing-masing disajikan dalam laporan                            respectively in the consolidated statement of
          laba rugi dan penghasilan komprehensif lain                           profit or loss and other comprehensive
          konsolidasian dan dalam ekuitas pada laporan                          income and under the equity section of the
          posisi keuangan konsolidasian, terpisah dari                          consolidated statement of financial position,
          bagian yang dapat diatribusikan kepada                                respectively,     separately     from     the
          pemilik Entitas Induk.                                                corresponding portion attributable to the
                                                                                owner of the Parent Entity.

          Transaksi dengan KNP            yang tidak                            Transactions with NCI that do not result in
          mengakibatkan    hilangnya      pengendalian                          loss of control are accounted for as equity
          merupakan transaksi ekuitas.                                          transactions.

          Jumlah tercatat dari kepemilikan Grup dan                             The carrying amounts of the Group’s interest
          KNP disesuaikan untuk mencerminkan                                    and the NCI are adjusted to reflect the
          perubahan kepentingan relatifnya dalam                                changes in their relative interests in the
          Entitas Anak. Selisih antara jumlah tercatat                          subsidiaries. Any difference between the
          KNP yang disesuaikan dan nilai wajar                                  amount by which the NCI are adjusted and
          imbalan yang dibayar atau diterima diakui                             the fair value of the consideration paid or
          secara langsung dalam ekuitas dan                                     received is recognized directly in equity and
          diatribusikan kepada pemilik Entitas Induk.                           attributed to the owners of the Parent Entity.




                                                           30
Page 35
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                  AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                   POLICIES (Continued)

     c.   Kombinasi Bisnis                                                 c.     Business Combination

          Kombinasi bisnis dicatat menggunakan                                    Business combinations are accounted for
          metode akuisisi. Biaya suatu akuisisi diakui                            using acquisition method. The cost of an
          sebagai penjumlahan atas imbalan yang                                   acquisition is measured as aggregate of the
          dialihkan, yang diukur pada nilai wajar pada                            consideration transferred, measured at
          tanggal akuisisi, dan jumlah atas kepentingan                           acquisition date fair value, and the amount of
          non-pengendali dientitas yang diakuisisi.                               any non-controlling interest in the acquiree.
          Biaya akuisisi yang terjadi dibiayakan dan                              The acquision costs incurred are expensed in
          dicatat sebagai beban pada periode berjalan.                            the current period.

          Selisih lebih antara penjumlahan imbalan                                The excess of the aggregate of the
          yang dialihkan dan jumlah yang diakui untuk                             consideration transferred and the amount
          kepentingan non-pengendali dengan aset                                  recognized for noncontrolling interest over
          teridentifikasi dan liabilitas yang diambil-alih                        the net indentified assets and liabilities
          (aset neto) dicatat sebagai goodwill. Dalam                             assumed is recorded as goodwill. In contrary,
          kondisi sebaliknya, Grup mengakui selisih                               the Group recognizes the lower amount as
          kurang tersebut sebagai keuntungan dalam                                gain in profit or loss on the date of
          laba rugi pada tanggal akuisisi.                                        acquisition.

          Setelah pengakuan awal, goodwill diukur                                 After initial recognition, goodwill is
          sebesar biaya perolehan dikurangi dengan                                measured at cost less any accumulated
          akumulasi penurunan nilai. Untuk tujuan                                 impairment losses. For the purpose of
          penurunan nilai, goodwill yang diperoleh dari                           impairment testing, goodwill acquired in the
          kombinasi bisnis, sejak tanggal akuisisi                                business combination is, from the acquisition
          dialokasikan ke setiap unit penghasil kas                               date, allocated to each of the Group's cash-
          yang diharapkan mendapatkan manfaat dari                                generating units that are expected to benefit
          kombinasi bisnis tersebut terlepas apakah aset                          from the combination, irrespective of whether
          dan liabilitas lainnya dari entitas yang                                other assets or liabilities of the acquiree are
          diakuisisi ditetapkan ke unit tersebut.                                 assigned to those units.

          Goodwill merupakan selisih lebih antara                                 Goodwill represents the excess of the cost of
          harga perolehan investasi Entitas Anak,                                 an acquisition of a Subsidiary, associate or
          entitas asosiasi atau bisnis dan nilai wajar                            business over the fair value of the Group’s
          bagian Grup atas aset neto entitas anak/entitas                         share of the identifiable net assets of the
          asosiasi atau bisnis yang dapat diidentifikasi                          acquired subsidiary, associate or business at
          pada tanggal akuisisi.                                                  the acquisition date.

          Goodwill dihentikan pengakuannya pada saat                              Goodwill is derecognized upon disposal or
          dilepaskan atau ketika tidak ada lagi manfaat                           when no future benefits are expected from its
          masa depan yang diharapkan dari penggunaan                              use or disposal.
          atau pelepasannya.




                                                             31
Page 36
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     d.   Kombinasi Bisnis Entitas Sepengendali                          d.     Business Combination of Entities Under
                                                                                Common Control

          Kombinasi bisnis antara entitas sepengendali                          Business combination involving entities under
          diperlakukan sesuai dengan PSAK 38.                                   common control is accounted in accordance
                                                                                with PSAK 38.

          Berdasarkan PSAK 38, transaksi kombinasi                              Under this PSAK 38, business combination of
          bisnis    entitas    sepengendali, berupa                             entities under common control transactions,
          pengalihan bisnis yang dilakukan dalam                                such as transfers of business conducted
          rangka reorganisasi entitas-entitas yang                              within the framework of the reorganization of
          berada di dalam suatu Grup yang sama,                                 the entities that are in the same group, is not
          bukan merupakan perubahan kepemilikan                                 a change of ownership in terms of economic
          dalam arti substansi ekonomi, sehingga                                substance, so that the transaction does not
          transaksi tersebut tidak menimbulkan laba                             result in a gain or loss for the Group as a
          atau rugi bagi Grup secara keseluruhan                                whole or for individual entities within the
          ataupun bagi entitas individu dalam Grup                              Group.
          tersebut.

          Karena transaksi kombinasi bisnis entitas                             Since the business combination transaction of
          sepengendali tidak menyebabkan perubahan                              entities under common control does not result
          substansi ekonomi kepemilikan atas bisnis                             to change of ownership in terms of the
          yang dipertukarkan, maka transaksi tersebut                           economic substance of the business which are
          diakui pada jumlah tercatat berdasarkan                               exchanged, the transaction is recognized in
          metode penyatuan kepemilikan.                                         the carrying amount based on the pooling of
                                                                                interest method.

          Dalam menerapkan metode penyatuan                                     In applying pooling of interest method, the
          kepemilikan, unsur-unsur laporan keuangan                             components of the financial statements for the
          dari entitas yang bergabung, untuk periode                            period during which the restructuring
          terjadinya      kombinasi    bisnis    entitas                        occurred and for other periods presented for
          sepengendali dan untuk periode komparatif                             comparison purposes are presented in such a
          sajian, disajikan sedemikian rupa seolah-olah                         manner as if the restructuring has already
          penggabungan tersebut telah terjadi sejak                             happened since the beginning of the entity is
          awal periode entitas yang bergabung berada                            under common control. The carrying values
          dalam sepengendalian. Jumlah tercatat dari                            of the elements of those statements are the
          unsur-unsur laporan keuangan tersebut                                 carrying amount of the joining entity in a
          merupakan jumlah tercatat dari entitas yang                           business combination under common control.
          bergabung dalam kombinasi bisnis antitas                              The difference between the consideration
          sepengendali. Selisih antara imbalan yang                             transferred and the carrying amount of any
          dialihkan dan jumlah tercatat dari setiap                             business combination under common control
          transaksi      kombinasi     bisnis    entitas                        transactions in equity are presented under
          sepengendali disajikan di ekuitas dalam pos                           “additional paid-in capital”.
          “tambahan modal disetor”.




                                                           32
Page 37
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                  AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                   POLICIES (Continued)

     e.    Standar, Amendemen/Penyesuaian dan                              e.     Standards, Amendments/Improvements and
           Interpretasi Standar yang Berlaku Efektif                              Interpretation to Standards Effective in the
           pada Tahun Berjalan                                                    Current Year

          Efektif tanggal 1 Januari 2023, Grup                                    Effective January 1, 2023, the Group adopted
          menerapkan PSAK baru yang berlaku efektif                               new SFAS that are effective for application
          pada tanggal pelaporan. Perubahan kebijakan                             from that date. Changes to the Group’s
          akuntansi Grup telah dibuat sesuai kebutuhan,                           accounting policies have been made as
          sesuai dengan ketentuan transisi dalam                                  required, in accordance with the transitional
          masing-masing standar.                                                  provisions in the respective standards.

          Penerapan standar baru dan amandemen yang                               The adoption of the following new standards
          relevan dengan operasi Grup adalah sebagai                              and amendment which are relevant to the
          berikut:                                                                Group’s operations are follows:

          −   Amandemen PSAK 1 - Penyajian Laporan                               −      Amendments to PSAK 1 - Presentation of
              Keuangan;                                                                 Financial Statements;
          −   Amandemen PSAK 16 - Aset tetap:                                    −      Amendment to SFAS 16- Fixed assets
              tentang hasil sebelum penggunaan yang                                     regarding proceeds before intended use;
              dimaksudkan;
          −   Amandemen PSAK 25 - Kebijakan                                      −      Amendment PSAK 25 - Accounting
              Akuntansi, Perubahan Estimasi Akuntansi                                   Policies, Changes in Accounting
              dan     Kesalahan:      Definisi    Estimasi                              Estimates and Errors: Definition of
              Akuntansi; dan                                                            Accounting Estimates; and
          −   Amandemen PSAK 46 - Pajak                                          −      Amendment to SFAS 46- Income tax
              penghasilan tentang Pajak tangguhan                                       regarding Deferred tax related to assets
              terkait aset dan liabilitas yang timbul dari                              and liabilities arising from a single
              transaksi tunggal.                                                        transaction.

          Dampak dari penerapan standar akuntansi baru                            Impact of adoption these new accounting
          ini adalah sebagai berikut:                                             standards are follows:

          −   Amandemen PSAK 1 - Penyajian Laporan                               −      Amendments to PSAK 1 - Presentation of
              Keuangan                                                                  Financial Statements:

          DSAK-IAI mengubah PSAK 1, 'Penyajian                                    The      DSAK-IAI     amended       PSAK  1,
          Laporan Keuangan', untuk mengharuskan                                   ‘Presentation of Financial Statements’, to
          Grup mengungkapkan informasi kebijakan                                  require companies to disclose their material
          akuntansi yang material daripada kebijakan                              accounting policy information rather than
          akuntansi yang signifikan.                                              their significant accounting policies.




                                                             33
Page 38
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     e.    Standar, Amendemen/Penyesuaian dan                            e.     Standards, Amendments/Improvements and
           Interpretasi Standar yang Berlaku Efektif                            Interpretation to Standards Effective in the
           pada Tahun Berjalan (Lanjutan)                                       Current Year (Continued)

          "Informasi kebijakan akuntansi adalah                                 Accounting policy information is material if,
          material jika, jika dipertimbangkan bersama                           when considered together with other
          dengan informasi lain yang termuat dalam                              information included in an entity’s financial
          laporan keuangan entitas, dapat diperkirakan                          statements, it can reasonably be expected to
          secara wajar dapat mempengaruhi keputusan                             influence decisions that the primary users of
          pengguna utama laporan keuangan bertujuan                             general-purpose financial statements make on
          umum yang diambil atas dasar laporan                                  the basis of those financial statements.”
          keuangan tersebut."

          Amandemen ini juga mengklarifikasi bahwa                              The amendment also clarifies that accounting
          informasi kebijakan akuntansi dianggap                                policy information is expected to be material
          material jika, tanpa informasi tersebut,                              if, without it, the users of the financial
          pengguna laporan keuangan tidak dapat                                 statements would be unable to understand
          memahami informasi material lainnya dalam                             other material information in the financial
          laporan keuangan.                                                     statements.

          Lebih    lanjut,   amandemen      PSAK       1                        Further, the amendment to PSAK 1 clarifies
          mengklarifikasi bahwa informasi kebijakan                             that immaterial accounting policy information
          akuntansi yang tidak material tidak perlu                             need not be disclosed. However, if it is
          diungkapkan. Namun, jika diungkapkan,                                 disclosed, it should not obscure material
          informasi tersebut tidak boleh mengaburkan                            accounting policy information.
          informasi kebijakan akuntansi yang material.

          −   Amandemen PSAK 25 - Kebijakan                                     −     Amendment PSAK 25 - Accounting
              Akuntansi, Perubahan Estimasi Akuntansi                                 Policies, Changes in Accounting
              dan   Kesalahan:    Definisi   Estimasi                                 Estimates and Errors: Definition of
              Akuntansi;                                                              Accounting Estimates;

          Amandemen PSAK 25, 'Kebijakan Akuntansi,                              The amendment to PSAK 25, ‘Accounting
          Perubahan Estimasi Akuntansi dan Kesalahan',                          Policies, Changes in Accounting Estimates
          mengklarifikasi bagaimana Grup harus                                  and Errors’, clarifies how companies should
          membedakan perubahan kebijakan akuntansi                              distinguish changes in accounting policies
          dari perubahan estimasi akuntansi. Estimasi                           from changes in accounting estimates.
          akuntansi didefinisikan sebagai jumlah                                Accounting estimates are defined as
          moneter dalam laporan keuangan yang tunduk                            monetaryamounts in financial statements that
                                                                                are subject to measurement uncertainty.
          pada ketidakpastian pengukuran.




                                                           34
Page 39
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     e.    Standar, Amendemen/Penyesuaian dan                            e.     Standards, Amendments/Improvements and
           Interpretasi Standar yang Berlaku Efektif                            Interpretation to Standards Effective in the
           pada Tahun Berjalan (Lanjutan)                                       Current Year (Continued)

          Pembedaan ini penting, karena perubahan                               The distinction is important, because changes
          estimasi    akuntansi    diterapkan     secara                        in accounting estimates are applied
          prospektif untuk transaksi masa depan dan                             prospectively to future transactions and other
          peristiwa masa depan lainnya, sedangkan                               future events but changes in accounting
          perubahan kebijakan akuntansi umumnya                                 policies are generally applied retrospectively
          diterapkan secara retrospektif untuk transaksi                        to past transactions and other past events as
          masa lalu dan peristiwa masa lalu lainnya                             well as the current period.
          serta periode berjalan.

          −   Amandemen PSAK 16 - Aset tetap:                                   −     Amendment to SFAS 16- Fixed assets
              tentang hasil sebelum penggunaan yang                                   regarding proceeds before intended use;
              dimaksudkan;

          PSAK 16, 'Aset Tetap', mensyaratkan bahwa                             PSAK 16, ‘Fixed Assets’, requires the
          hasil yang diterima dari penjualan hasil                              proceeds received from selling output
          produksi yang dihasilkan sebelum aset tersebut                        produced before the asset is ready for its
          siap untuk digunakan sesuai dengan maksud                             intended use to be recognised as income in
          penggunaannya, diakui sebagai pendapatan                              profit or loss. The related cost of producing
          dalam laba rugi. Biaya produksi yang terkait                          the output is measured using the guidance in
          diukur dengan menggunakan panduan dalam                               PSAK 14, ‘Inventories’, and it is recognised
                                                                                as an expense in profit or loss when sold.
          PSAK 14, 'Persediaan', dan diakui sebagai
          beban dalam laba rugi pada saat penjualan.

          Jika barang yang dijual merupakan hasil dari                          If the items sold are the output of an entity’s
          aktivitas normal entitas, maka pendapatan dan                         ordinary activities, the income and cost are
          biaya diungkapkan sesuai dengan persyaratan                           disclosed     in     accordance     with    the
          PSAK 72, "Pendapatan dari Kontrak dengan                              requirements of PSAK 72, ‘Revenue from
          Pelanggan", dan PSAK 14. Jika barang yang                             Contracts with Customers’, and PSAK 14. If
          dijual bukan merupakan bagian dari aktivitas                          the items sold are not part of an entity’s
          normal entitas, maka amandemen PSAK 16                                ordinary activities, the amendment to PSAK
                                                                                16 requires the disclosure of the amount and
          mensyaratkan pengungkapan jumlah dan pos
                                                                                line item(s) in the statement of comprehensive
          dalam laporan laba rugi komprehensif dimana
                                                                                income in which such proceeds and cost have
          pendapatan dan biaya tersebut dimasukkan                              been included.

          Amandemen PSAK 16 juga mengklarifikasi                                The amendment to PSAK 16 also clarifies that
          bahwa entitas 'menguji apakah aset berfungsi                          an entity is ‘testing whether the asset is
          dengan baik' ketika entitas menilai kinerja                           functioning properly’ when it assesses the
          teknis dan fisik aset.                                                technical and physical performance of the
                                                                                asset.




                                                           35
Page 40
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                  AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                   POLICIES (Continued)

     e.    Standar, Amendemen/Penyesuaian dan                              e.     Standards, Amendments/Improvements and
           Interpretasi Standar yang Berlaku Efektif                              Interpretation to Standards Effective in the
           pada Tahun Berjalan (Lanjutan)                                         Current Year (Continued)

          Kinerja keuangan aset tidak relevan dengan                              The financial performance of the asset is not
          penilaian ini. Oleh karena itu, suatu aset                              relevant to this assessment. An asset might
          mungkin dapat beroperasi sesuai dengan                                  therefore be capable of operating as intended
          tujuan manajemen dan dikenakan penyusutan                               by management and subject to depreciation
          sebelum mencapai tingkat kinerja operasi yang                           before it has achieved the level of operating
          diharapkan oleh manajemen.                                              performance expected by management.

          −   Amandemen PSAK 46 - Pajak                                           −     Amendment to SFAS 46- Income tax
              penghasilan tentang Pajak tangguhan                                       regarding Deferred tax related to assets
              terkait aset dan liabilitas yang timbul dari                              and liabilities arising from a single
              transaksi tunggal;                                                        transaction;

          DSAK-IAI telah mengamandemen PSAK 46,                                   The DSAK-IAI has amended PSAK 46,
          'Pajak Penghasilan', untuk mengharuskan Grup                            'Income taxes', to require companies to
          mengakui pajak tangguhan atas transaksi                                 recognise deferred tax on particular
          tertentu yang pada saat pengakuan awal                                  transactions that, on initial recognition, give
          menimbulkan jumlah yang sama antara                                     rise to equal amounts of taxable and
          perbedaan temporer kena pajak dan perbedaan                             deductible temporary differences. The
          temporer     yang       dapat   dikurangkan.                            amendments will typically apply to
                                                                                  transactions such as leases for the lessee and
          Amandemen ini biasanya akan diterapkan
                                                                                  decommissioning obligations.
          pada transaksi seperti sewa untuk penyewa
          dan kewajiban penghentian operasi.

          Paragraf 15 dan 24 dari PSAK 46 telah                                   Paragraphs 15 and 24 of PSAK 46 were
          diamandemen untuk memasukkan kondisi                                    amended to include an additional condition
          tambahan di mana pengecualian pengakuan                                 where the initial recognition exemption is not
          awal tidak diterapkan. Menurut pedoman yang                             applied. According to the amended guidance,
          diamandemen, perbedaan temporer yang                                    a temporary difference that arises on initial
          timbul pada saat pengakuan awal aset atau                               recognition of an asset or liability is not
          liabilitas tidak tunduk pada pengecualian                               subject to the initial recognition exemption if
          pengakuan awal jika transaksi tersebut                                  that transaction gave rise to equal amounts of
          menimbulkan jumlah yang sama antara                                     taxable and deductible temporary differences.
          jumlah kena pajak dan jumlah yang dapat
          dikurangkan dari perbedaan temporer.

          Standar dan interpretasi standar akuntansi baru                         Certain new accounting standards and
          tertentu telah dikeluarkan tetapi tidak wajib                           interpretations have been published that are
          diterapkan pada 30 September 2024 dan belum                             not mandatory at September 30, 2024 and
          diterapkan secara dini oleh Grup.                                       have not been early adopted by the Group..




                                                             36
Page 41
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                  AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                   POLICIES (Continued)

     f.   Klasifikasi Lancar/ Tidak Lancar dan                             f.     Current and Non-current Classification
          Jangka Pendek/ Jangka Panjang

          Grup menyajikan aset dan liabilitas dalam                               The Group presents assets and liabilities in
          laporan posisi keuangan konsolidasian                                   the consolidated statement of financial
          berdasarkan klasifikasi lancar/ tidak lancar                            position based on current/ non-current
          atau jangka pendek/ jangka panjang. Suatu                               classification. An asset is current when it is:
          asset disajikan lancer bila:

          i).    Akan direalisasi, dijual atau dikonsumsi                         i)     Expected to be realized or intended to
                 dalam siklus operasi normal,                                            be sold or consumed in the normal
                                                                                         operating cycle,
          ii)    Untuk diperdagangkan,                                            ii)    Held primarily for the purpose of
                                                                                         trading,
          iii)   Akan direalisasi dalam 12 bulan setelah                          iii)   Expected to be realized within 12
                 tanggal pelaporan, atau kas atau setara                                 months after the reporting period, or
                 kas      kecuali     yang      dibatasi                                 cash or cash equivalent unless
                 penggunaannya atau akan digunakan                                       restricted from being exchanged or used
                 untuk melunasi suatu liabilitas dalam                                   to settle a liability for at least 12
                 paling lambat 12 bulan setelah tanggal                                  months after the reporting period.
                 pelaporan.

          Seluruh aset lain diklasifikasikan sebagai                              All other assets are classified as non-current.
          tidak lancer.

          Suatu liabilitas disajikan sebagai jangka                               A liability is current when it is:
          pendek bila:

          i)     Akan dilunasi dalam siklus operasi                               i)     Expected to be settled in the normal
                 normal,                                                                 operating cycle,
          ii)    Untuk diperdagangkan,                                            ii)    Held primarily for the purpose of
                                                                                         trading,
          iii)   Akan dilunasi dalam 12 bulan setelah                             iii)   Due to be settled within 12 months after
                 tanggal pelaporan, atau                                                 the reporting period, or
          iv)    Tidak ada hak tanpa syarat untuk                                 iv)    There is no unconditional right to defer
                 menangguhkan pelunasannya dalam                                         the settlement of the liability for at least
                 paling tidak 12 bulan setelah tanggal                                   12 months after the reporting period.
                 pelaporan.

          Seluruh liabilitas lain diklasifikasikan sebagai                        All other liabilities are classified as non-
          jangka Panjang                                                          current.

          Aset dan liabilitas pajak tangguhan                                     Deferred tax assets and liabilities are
          diklasifikasikan sebagai asset tidak lancar dan                         classified as non-current assets and
          liabilitas jangka panjang                                               liabilities.




                                                             37
Page 42
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     g.   Kas dan Setara         Kas    dan   Deposito                   g.     Cash and Cash Equivalents and Time
          Berjangka                                                             Deposits

          Kas dan setara kas dalam laporan posisi                               Cash and cash equivalents in the
          keuangan konsolidasian terdiri atas kas dan                           consolidated statement of financial position
          bank dan deposito dengan jangka waktu 3                               comprises of cash on hand and in banks and
          (tiga) bulan atau kurang pada saat                                    time deposits with maturities of 3 (three)
          penempatan yang dapat segera dikonversikan                            months or less at the time of placement that
          menjadi kas dalam jumlah yang dapat                                   are readily convertible to known amounts of
          ditentukan dan memiliki risiko perubahan                              cash, and neither pledged as collateral nor
          nilai yang tidak signifikan dan tidak                                 restricted for use and are subject to an
          digunakan sebagai jaminan atas pinjaman                               insignificant risk of changes in value, and
          serta tidak dibatasi penggunaannya, dan                               bank overdrafts.
          cerukan.

          Grup mengakui cerukannya sebagai pinjaman                             The Group recognizes its bank overdrafts as
          bank jangka pendek di laporan posisi                                  a short term bank loan in the consolidated
          keuangan konsolidasian.                                               statement of financial position.

          Cerukan yang dapat dibayar kembali atas                               Bank overdrafts which are repayable on
          permintaan dan merupakan bagian yang tidak                            demand and form an integral part of an
          terpisahkan dari pengelolaan kas suatu entitas                        entity's cash management are included as a
          dicatat sebagai komponen kas dan setara kas.                          component of cash and cash equivalents. A
          Karakteristik pengaturan perbankan seperti                            characteristic of such banking arrangements
          itu adalah saldo bank sering berfluktuasi dari                        is that the bank balance often fluctuates from
          positif menjadi penarikan berlebih.                                   being positive to overdrawn.

          Deposito berjangka yang jatuh temponya                                Time deposits with maturities of more than
          lebih dari tiga bulan sejak tanggal                                   three months from the date of placement,
          penempatan, yang dijaminkan, dan dibatasi                             which are used as collateral and are
          penggunaannya, dicatat sebagai “Deposito                              restricted for use, are recorded as “Time
          Berjangka” dalam laporan posisi keuangan                              Deposits” in the consolidated statement of
          konsolidasian.                                                        financial position.

     h.   Instrumen Keuangan                                             h.     Financial Instruments

          Grup mengklasifikasikan instrumen keuangan                            The Group classifies financial instruments
          menjadi aset keuangan dan liabilitas                                  into financial assets and financial liabilities.
          keuangan. Instrumen keuangan adalah setiap                            A financial instrument is any contract that
          kontrak yang menimbulkan aset keuangan                                gives rise to a financial asset of one entity
          pada satu entitas dan liabilitas keuangan atau                        and a financial liability or equity instrument
          instrumen ekuitas pada entitas lain.                                  of another entity.




                                                           38
Page 43
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     h.   Instrumen Keuangan                                             h.     Financial Instruments

          Klasifikasi                                                           Classification

          (i)   Aset Keuangan                                                   (i)    Financial Assets

                Aset keuangan Grup terdiri atas kas dan                                The Group’s financial assets consist of
                setara    kas,    deposito   berjangka,                                cash and cash equivalents, time
                portofolio efek - pihak ketiga, piutang                                deposits, marketable securities - third
                sewa operasi - pihak ketiga, piutang                                   parties, operating lease receivables -
                nasabah - pihak ketiga dan pihak                                       third     parties,   receivables     from
                berelasi, piutang premi, piutang                                       customers - third parties and related
                reasuransi, piutang lain-lain - pihak                                  parties, premiums receivables, due from
                ketiga, pendapatan yang belum ditagih,                                 reinsurance, other receivables - third
                dan aset lain-lain yang diklasifikasikan                               parties, unbilled receivables, and other
                sebagai aset keuangan yang diukur                                      assets are classified as financial assets
                dengan biaya perolehan diamortisasi,                                   at amortized cost. While marketable
                portofolio efek - pihak ketiga dan                                     securities - third parties and related
                berelasi diklasifikasikan sebagai aset                                 parties classified as financial assets at
                keuangan pada FVTPL, dan penyertaan                                    FVTPL, and investment in shares
                saham diklasifikasikan sebagai aset                                    classified as financial assets at FVOCI.
                keuangan pada FVOCI.

                Grup mengklasifikasikan liabilitas                                     The Group classifies its financial
                keuangannya pada pengakuan awal                                        liabilities, at initial recognition, as: (i)
                sebagai (i) liabilitas keuangan diukur                                 financial liabilities at FVTPL or (ii)
                pada FVTPL atau (ii) liabilitas                                        financial liabilities measured at
                keuangan diukur pada biaya perolehan                                   amortized cost.
                diamortisasi.

                Liabilitas keuangan Grup terdiri atas                                  The Group’s financial liabilities consist
                utang bank, pinjaman pihak ketiga,                                     of bank loans, third party loan, trade
                utang usaha jasa transportasi, utang                                   payables transportation, payables to
                nasabah, utang klaim - pihak ketiga,                                   customers, claim payables - third
                utang reasuransi, utang koasuransi,                                    parties, due to reinsurance, due to
                utang komisi, utang lain-lain - pihak                                  coinsurance, commissions payables,
                ketiga, beban akrual - pihak ketiga, dan                               other payables - third parties, accrued
                liabilitas sewa yang diklasifikasikan                                  expenses - third parties, other payables,
                sebagai liabilitas keuangan yang                                       and lease liabilities are classified as
                dikukur berdasarkan biaya perolehan                                    financial liabilities measured at
                diamortisasi.                                                          amortized cost.




                                                           39
Page 44
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                 h.     Financial Instruments (Continued)

          Klasifikasi (Lanjutan)                                               Classification (Continued)

          (i)   Aset Keuangan (Lanjutan)                                       (i)    Financial Assets (Continued)

                Klasifikasi    aset   keuangan    pada                                The classification of financial assets at
                pengakuan awal tergantung pada                                        initial recognition depends on the
                karakteristik arus kas kontraktual aset                               financial asset’s contractual cash flow
                keuangan dan model bisnis Grup dalam                                  characteristics and the Group’s
                mengelola aset keuangan tersebut.                                     business model for managing them.
                Kecuali untuk piutang usaha yang tidak                                With the exception of trade receivables
                memiliki komponen pendanaan yang                                      that do not contain a significant
                signifikan dan atau saat Grup                                         financing component for which the
                menerapkan panduan praktis, pada saat                                 Group has applied the practical
                pengakuan awal Grup mengukur aset                                     expedient, the Group initially measures
                keuangan pada nilai wajarnya ditambah,                                a financial asset at its fair value plus, in
                dalam hal aset keuangan tidak diukur                                  the case of a financial asset not at
                pada FVTPL, biaya transaksi. Untuk                                    FVTPL, transactions costs. Trade
                piutang usaha yang tidak memiliki                                     receivables that do not contain a
                komponen pendanaan yang signifikan                                    significant financing component or
                atau ketika Grup menerapkan panduan                                   which the Group has applied the
                praktis, diukur sesuai harga transaksi                                practical expedient are measured at the
                seperti yang didefinisikan dalam                                      transaction price determined under
                PSAK 72.                                                              PSAK 72.

                Pembelian atau penjualan aset keuangan                                Purchases or sales of financial assets
                yang memerlukan penyerahan aset                                       that require delivery of assets within a
                dalam kurun waktu yang telah                                          time frame established by regulation or
                ditetapkan     oleh    peraturan   atau                               convention in the marketplace (regular
                kebiasaan yang berlaku di pasar                                       way trades) are recognized on the trade
                (pembelian yang lazim) diakui pada                                    date, i.e., the date that the Group
                tanggal perdagangan, yaitu tanggal                                    commits to buy or sell the asset.
                Grup berkomitmen untuk membeli atau
                menjual aset tersebut.

                Pengukuran aset keuangan tergantung                                   The measurement of financial assets
                pada klasifikasinya sebagai berikut:                                  depends on their classification as
                                                                                      follows:




                                                          40
Page 45
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                 POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                  h.     Financial Instruments (Continued)

          Klasifikasi (Lanjutan)                                                Classification (Continued)

          (i)   Aset Keuangan (Lanjutan)                                        (i)    Financial Assets (Continued)

                a.   Aset keuangan yang diukur pada                                    a.     Financial assets at fair value
                     nilai wajar melalui laba rugi                                            through profit or loss

                     Aset keuangan yang diukur pada                                           Financial assets at fair value
                     nilai wajar melalui laba rugi                                            through profit or loss include
                     mencakup aset keuangan yang                                              financial assets held for trading,
                     dimiliki untuk diperdagangkan,                                           financial assets designated upon
                     aset keuangan yang ditetapkan                                            initial recognition at fair value
                     pada saat pengakuan awal pada                                            through profit or loss, or financial
                     nilai wajar melalui laba rugi, atau                                      assets mandatorily required to be
                     aset keuangan yang disyaratkan                                           measured at fair value. Financial
                     untuk diukur pada nilai wajarnya.                                        assets are classified as held for
                     Aset keuangan diklasifikasikan                                           trading if they are acquired for the
                     dalam kelompok diperdagangkan                                            purpose of selling or repurchasing
                     jika dibeli dengan tujuan untuk                                          in the near term.
                     dijual atau dibeli kembali dalam
                     waktu dekat.

                     Derivatif,    termasuk   derivatif                                       Derivatives, including separated
                     melekat yang dipisahkan, juga                                            embedded derivatives, are also
                     diklasifikasikan          sebagai                                        classified as held for trading
                     diperdagangkan kecuali derivatif                                         unless they are designated as
                     sebagai instrumen lindung nilai                                          effective hedging instruments.
                     yang ditetapkan dan efektif. Aset                                        Financial assets with cash flows
                     keuangan yang tidak memenuhi                                             that are not fulfilled with SPPI
                     SPPI testing diukur pada FVTPL,                                          testing     are    classified    and
                     terlepas apapun model bisnisnya.                                         measured at FVTPL, irrespective
                     Terlepas dari kriteria untuk                                             of      the     business      model.
                     instrumen utang yang akan                                                Notwithstanding the criteria for
                     diklasifikasikan    pada    biaya                                        debt instruments to be classified at
                     perolehan diamortisasi atau pada                                         amortized cost or at FVOCI, as
                     FVOCI, seperti dijelaskan di atas,                                       described above, debt instruments
                     instrumen utang dapat ditetapkan                                         may be designated at FVTPL on
                     pada FVTPL pada pengakuan                                                initial recognition if doing so
                     awal jika penerapan itu dapat                                            eliminates,      or     significantly
                     menghilangkan,      atau   secara                                        reduces, an accounting mismatch.
                     signifikan            mengurangi,
                     inkonsistensi pengukuran atau
                     pengakuan.




                                                           41
Page 46
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                 AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                  POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                   h.     Financial Instruments (Continued)

          Klasifikasi (Lanjutan)                                                 Classification (Continued)

          (i)   Aset Keuangan (Lanjutan)                                         (i)    Financial Assets (Continued)

                b.   Aset keuangan diukur pada biaya                                    b.     Financial assets at amortized cost
                     perolehan diamortisasi (instrumen                                         (debt instruments)
                     utang)

                     Aset keuangan diukur pada biaya                                           Financial assets at amortized cost
                     perolehan diamortisasi setelah                                            are subsequently measured using
                     pengakuan       awal       diukur                                         the effective interest method and
                     menggunakan metode suku bunga                                             are subject to impairment. Gains
                     efektif dan merupakan subjek                                              and losses are recognized in profit
                     penurunan nilai. Keuntungan dan                                           or loss when the asset is
                     kerugian diakui pada laba rugi                                            derecognized,      modified     or
                     saat       aset       dihentikan                                          impaired.
                     pengakuannya, dimodifikasi atau
                     mengalami penurunan nilai.

                c.   Aset keuangan diukur pada                                          c.     Financial assets designated at
                     FVOCI tanpa fitur reklasifikasi                                           FVOCI with no recycling of
                     keuntungan      dan     kerugian                                          cumulative gains and losses upon
                     kumulatif    saat    penghentian                                          derecognition (equity instruments)
                     pengakuan (instrumen ekuitas)

                     Saat pengakuan awal, Grup dapat                                           Upon initial recognition, the
                     membuat pilihan yang tidak dapat                                          Group can elect to classify
                     dibatalkan untuk menyajikan                                               irrevocably its equity investments
                     dalam FVOCI perubahan nilai                                               as equity instruments designated
                     wajar investasi dalam instrumen                                           at FVOCI when they meet the
                     ekuitas yang masuk dalam ruang                                            definition of equity under PSAK
                     lingkup PSAK 71 dan yang bukan                                            71 and are not held for trading.
                     merupakan instrumen ekuitas                                               The classification is determined
                     dimiliki untuk diperdagangkan.                                            on an instrument-by-instrument
                     Pilihan ini dilakukan pada level                                          basis. Gains and losses on these
                     instrumen       per      instrumen.                                       financial assets are never reclass
                     Keuntungan dan kerugian dari aset                                         to profit or loss.
                     keuangan           ini         tidak
                     direklasifikasikan ke laba rugi.




                                                            42
Page 47
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                   AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                    POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                     h.     Financial Instruments (Continued)

          Klasifikasi (Lanjutan)                                                   Classification (Continued)

          (i)    Aset Keuangan (Lanjutan)                                          (i)    Financial Assets (Continued)

                 c.   Aset keuangan diukur pada                                           c.     Financial assets designated at
                      FVOCI tanpa fitur reklasifikasi                                            FVOCI with no recycling of
                      keuntungan      dan     kerugian                                           cumulative gains and losses upon
                      kumulatif    saat    penghentian                                           derecognition (equity instruments)
                      pengakuan (instrumen ekuitas)

                      Dividen       diakui       sebagai                                         Dividends are recognized as other
                      penghasilan lainnya pada laba rugi                                         income in the consolidated
                      ketika hak untuk menerima                                                  statement of profit or loss when
                      pembayaran       dividen     telah                                         the right of payment has been
                      ditetapkan, kecuali dividen secara                                         established, except when the
                      jelas mewakili bagian terpulihkan                                          Group      benefits  from     such
                      dari biaya investasi, di mana                                              proceeds as a recovery of part of
                      keuntungan tersebut dicatat dalam                                          the cost of the investment, in
                      penghasilan          komprehensif                                          which case such gains are
                      lainnya. Instrumen ekuitas yang                                            recorded in other comprehensive
                      diukur pada FVOCI tidak                                                    income.      Equity    instruments
                      terpengaruh pada persyaratan                                               designated at FVOCI are not
                      penurunan nilai.                                                           subject to impairment assessment.

          (ii)   Liabilitas Keuangan                                               (ii)   Financial Liabilities
                 Instrumen keuangan yang diterbitkan                                      Issued financial instruments or their
                 atau komponen dari instrumen keuangan                                    components, which are not classified as
                 tersebut, yang tidak diklasifikasikan                                    financial liabilities at FVTPL are
                 sebagai liabilitas keuangan yang diukur                                  classified as other financial liabilities,
                 pada FVTPL diklasifikasikan sebagai                                      where the substance of the contractual
                 liabilitas keuangan lainlain, jika                                       arrangements results in the Group
                 substansi      perjanjian      kontraktual                               having an obligation either to deliver
                 mengharuskan Grup untuk menyerahkan                                      cash or another financial asset to the
                 kas atau aset keuangan lain kepada                                       holder, or to satisfy the obligation other
                 pemegang instrumen keuangan, atau jika                                   by the exchange of a fixed amount of
                 liabilitas tersebut diselesaikan tidak                                   cash or another financial asset for a
                 melalui penukaran kas atau aset                                          fixed number of own equity shares.
                 keuangan lain atau saham sendiri yang
                 jumlahnya tetap atau telah ditetapkan.
                 Pengukuran     liabilitas    keuangan                                    The measurement of financial liabilities
                 tergantung pada klasifikasinya sebagai                                   depends on their classification as
                 berikut:                                                                 follows:




                                                              43
Page 48
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                  AKUNTANSI               2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                   POLICIES (Continued)
     h.   Instrumen Keuangan (Lanjutan)                                    h.     Financial Instruments (Continued)

          Klasifikasi (Lanjutan)                                                  Classification (Continued)
          (ii)   Liabilitas Keuangan (Lanjutan)                                   (ii)   Financial Liabilities (Continued)
                 a.   Liabilitas keuangan diukur pada                                    a.     Financial liabilities measured at
                      biaya perolehan diamortisasi                                              amortized cost

                      Setelah pengakuan awal, liabilitas                                        After initial recognition, financial
                      keuangan diukur pada biaya                                                liabilities     are    subsequently
                      perolehan     yang     diamortisasi                                       measured at cost using the effective
                      dengan menggunakan metode suku                                            interest method. Gains and losses
                      bunga efektif. Keuntungan dan                                             are recognized in the consolidated
                      kerugian diakui dalam laporan laba                                        statement of profit or loss and
                      rugi dan penghasilan komprehensif                                         other comprehensive income when
                      lain konsolidasian hingga liabilitas                                      the liabilities are derecognized as
                      dihentikan pengakuannya melalui                                           well as through the amortization
                      proses amortisasi menggunakan                                             process using the effective interest
                      metode suku bunga efektif. Biaya                                          method.      Amortized     cost     is
                      perolehan diamortisasi dihitung                                           calculated by taking into account
                      dengan mempertimbangkan setiap                                            any discount or premium on
                      diskon atau premi pada perolehan                                          acquisition and fees or costs that
                      awal dan biaya yang merupakan                                             are an integral part of the effective
                      bagian integral dari suku bunga                                           interest rate. The effective interest
                      efektif. Amortisasi metode suku                                           method amortization is included as
                      bunga efektif diakui sebagai biaya                                        finance costs in the statement of
                      pendanaan pada laporan laba rugi.                                         profit or loss. This category
                      Kategori ini umumnya berlaku                                              generally applies to interest-
                      untuk pinjaman berbunga dan                                               bearing       loans    and      other
                      pinjaman lainnya.                                                         borrowings.

          Metode Suku Bunga Efektif                                               Effective Interest Method
          Metode suku bunga efektif adalah metode                                 Effective interest method is a method of
          yang digunakan untuk menghitung biaya                                   calculating the amortized cost of a financial
          perolehan diamortisasi dari liabilitas keuangan                         liability and of allocating interest expense
          dan metode untuk mengalokasikan biaya                                   over the relevant period. The effective interest
          bunga selama periode yang relevan. Suku                                 rate is the rate that exactly discounts
          bunga efektif adalah suku bunga yang secara                             estimated future cash payments (including all
          tepat mendiskontokan estimasi pembayaran                                fees and points paid or received that form an
          kas masa depan (mencakup seluruh komisi dan                             integral part of the effective interest rate,
          bentuk lain yang dibayarkan dan diterima yang                           transaction costs and other premiums or
          merupakan bagian yang tak terpisahkan dari                              discounts) through the expected life of the
          suku bunga efektif, biaya transaksi dan                                 financial liability, or (where appropriate) a
          premium dan diskonto lainnya) selama                                    shorter period to the net carrying amount on
          perkiraan umur liabilitas keuangan, atau (jika                          initial recognition.
          lebih tepat) digunakan periode yang lebih
          singkat untuk memperoleh nilai tercatat bersih
          pada saat pengakuan awal.


                                                             44
Page 49
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN                AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                                POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                 h.     Financial Instruments (Continued)

          Saling Hapus dari Instrumen Keuangan                                 Offsetting of Financial Instruments

          Aset keuangan dan liabilitas keuangan saling                         Financial assets and financial liabilities are
          hapus dan nilai bersihnya dilaporkan dalam                           offset and the net amount reported in the
          laporan posisi keuangan konsolidasian jika,                          consolidated statement of financial position
          dan hanya jika, terdapat hak yang                                    if, and only if, there is a currently enforceable
          berkekuatan hukum untuk melakukan saling                             legal right to offset the recognized amounts
          hapus atas jumlah yang telah diakui dari aset                        and there is an intention to settle on a net
          keuangan dan liabilitas keuangan tersebut dan                        basis, or to realize the assets and settle the
          terdapat intensi untuk menyelesaikan dengan                          liabilities simultaneously.
          menggunakan dasar neto, atau untuk
          merealisasikan aset dan menyelesaikan
          liabilitasnya secara bersamaan.

          Penurunan Nilai Aset Keuangan                                        Impairment of Financial Assets

          Grup mengakui cadangan untuk kerugian                                The Group recognizes an allowance for
          kredit ekspektasian (“ECL”) untuk seluruh                            expected credit losses (ECL) for all debt
          instrumen utang yang tidak diklasifikasikan                          instruments not held at FVTPL. ECL are
          sebagai diukur pada FVTPL. ECL didasarkan                            based on the difference between the
          pada perbedaan antara arus kas kontraktual                           contractual cash flows due in accordance
          yang tertuang dalam kontrak dan seluruh arus                         with the contract and all the cash flows that
          kas yang diharapkan akan diterima Grup,                              the Group expects to receive, discounted at
          didiskontokan menggunakan suku bunga                                 an approximation of the original effective
          efektif awal. Arus kas yang diharapkan akan                          interest rate. The expected cash flows will
          diterima tersebut mencakup arus kas dari                             include cash flows from the sale of collateral
          penjualan agunan yang dimiliki atau                                  held or other credit enhancements that are
          perluasan kredit lainnya yang merupakan                              integral to the contractual terms.
          bagian integral dari persyaratan kontrak.

          ECL diakui dalam dua tahap. Untuk risiko                             ECL are recognized in two stages. For credit
          kredit atas instrumen keuangan yang tidak                            exposures for which there has not been a
          mengalami peningkatan secara signifikan                              significant increase in credit risk since initial
          sejak     pengakuan     awal,    pengukuran                          recognition, ECL are provided for credit
          penyisihan kerugian dilakukan sejumlah ECL                           losses that result from default events that are
          12 bulan. Untuk risiko kredit atas instrumen                         possible within the next 12-months (a 12-
          keuangan yang mengalami peningkatan                                  month ECL). For those credit exposures for
          secara signifikan sejak pengakuan awal,                              which there has been a significant increase in
          penyisihan kerugian dilakukan sepanjang sisa                         credit risk since initial recognition, a loss
          umurnya, terlepas dari waktu terjadinya                              allowance is required for credit losses
          default (sepanjang umur ECL).                                        expected over the remaining life of the
                                                                               exposure, irrespective of the timing of the
                                                                               default (a lifetime ECL).




                                                          45
Page 50
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


2.   INFORMASI KEBIJAKAN               AKUNTANSI              2.       INFORMATION OF MATERIAL ACCOUNTING
     MATERIAL (Lanjutan)                                               POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                h.     Financial Instruments (Continued)

          Penurunan Nilai Aset Keuangan (Lanjutan)                            Impairment of Financial Assets (Continued)

          Karena piutang usaha dan aset kontrak tidak                         Because its trade receivables and contract
          memiliki komponen pembiayaan signifikan,                            assets do not contain significant financing
          Grup     menerapkan    pendekatan       yang                        component, the Group applies a simplified
          disederhanakan dalam perhitungan ECL.                               approach in calculating ECL. Therefore, the
          Oleh karena itu, Grup tidak menelusuri                              Group does not track changes in credit risk,
          perubahan dalam risiko kredit, namun justru                         but instead recognizes a loss allowance based
          mengakui penyisihan kerugian berdasarkan                            on lifetime ECL at each reporting date. The
          ECL sepanjang umurnya pada setiap tanggal                           Group established a provision matrix that is
          pelaporan. Grup membentuk matriks provisi                           based on its historical credit loss experience,
          berdasarkan pengalaman kerugian kredit                              adjusted for forward-looking factors specific
          masa lampau, disesuaikan dengan perkiraan                           to the debtors and the economic environment.
          masa depan (forwardlooking) atas faktor yang
          spesifik untuk debitur dan lingkungan
          ekonomi.

          Grup mempertimbangkan aset keuangan                                 The Group considers a financial asset in
          memenuhi definisi default ketika telah                              default when contractual payments are 90
          menunggak lebih dari 90 hari. Namun, dalam                          days past due. However, in certain cases, the
          kasus-kasus tertentu, Grup juga dapat                               Group may also consider a financial asset to
          menganggap aset keuangan dalam keadaan                              be in default when internal or external
          default ketika informasi internal atau                              information indicates that the Group is
          eksternal menunjukkan bahwa Grup tidak                              unlikely to receive the outstanding
          mungkin menerima arus kas kontraktual                               contractual amounts in full before taking into
          secara penuh tanpa melakukan perluasan                              account any credit enhancements held by the
          persyaratan   kredit.     Piutang    usaha                          Group. Trade receivables is written off when
          dihapusbukukan ketika kecil kemungkinan                             there is low possibility of recovering the
          untuk memulihkan arus kas kontraktual,                              contractual cash flow, after all collection
          setelah semua upaya penagihan telah                                 efforts have been done and have been fully
          dilakukan dan telah sepenuhnya dilakukan                            provided for allowance.
          penyisihan.

          Definisi gagal bayar                                                Definition of default

          Grup menganggap hal-hal berikut ini                                 The Group considers the following as
          merupakan peristiwa gagal bayar untuk                               constituting an event of default for internal
          tujuan manajemen risiko kredit internal                             credit risk management purposes as
          karena pengalaman historis menunjukkan                              historical experience indicates that financial
          bahwa aset keuangan yang memenuhi salah                             assets that meet either of the following
          satu kriteria berikut umumnya tidak dapat                           criteria are generally not recoverable:
          dipulihkan:

          •    Ketika terdapat pelanggaran persyaratan                         •    When there is a breach of financial
               keuangan oleh debitur; atau                                          covenants by the debtor; or



                                                         46
Page 51
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                  AKUNTANSI           2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                  h.     Financial Instruments (Continued)

          Definisi gagal bayar (Lanjutan)                                       Definition of default (Continued)

          •    Informasi yang dikembangkan secara                                •    Information developed internally or
               internal atau diperoleh dari sumber                                    obtained from external sources indicates
               eksternal menunjukkan bahwa debitur                                    that the debtor is unlikely to pay its
               kemungkinan tidak akan membayar                                        creditors, including the Group, in full
               kreditornya, termasuk Grup, secara                                     (without taking into account any
               penuh (tanpa memperhitungkan jaminan                                   collateral held by the Group).
               yang dimiliki oleh Grup).

          Terlepas dari analisis di atas, Grup                                  Irrespective of the above analysis, the Group
          menganggap bahwa gagal bayar telah terjadi                            considers that default has occurred when a
          ketika aset keuangan tertunggak lebih dari 90                         financial asset is more than 90 days past due
          hari kecuali jika Grup memiliki informasi                             unless the Group has reasonable and
          yang     wajar    dan     terdukung    untuk                          supportable information to demonstrate that
          menunjukkan bahwa kriteria yang lebih                                 a more lagging default criterion is more
          panjang lebih tepat.                                                  appropriate.

          Kebijakan penghapusan                                                 Write-off policy

          Grup menghapuskan aset keuangan ketika                                The Group writes off a financial asset when
          ada informasi yang menunjukkan bahwa                                  there is information indicating that the
          pihak lawan berada dalam kesulitan keuangan                           counterparty is in severe financial difficulty
          yang buruk dan tidak ada prospek pemulihan                            and there is no realistic prospect of recovery,
          yang realistis, contoh ketika pihak lawan                             e.g. when the counterparty has been placed
          dalam proses likuidasi atau telah memasuki                            under liquidation or has entered into
          proses kebangkrutan, atau untuk hal piutang                           bankruptcy proceedings, or in the case of
          usaha, ketika jumlahnya sudah lebih dari 120                          trade accounts receivable, when the amounts
          hari tertunggak, mana yang terjadi lebih dulu.                        are over 120 days past due, whichever occurs
          Aset keuangan yang dihapuskan dapat                                   sooner. Financial assets written off may still
          menjadi subjek aktivitas penagihan dalam                              be subject to enforcement activities under the
          prosedur      pemulihan    Grup,       dengan                         Group’s recovery procedures, taking into
          mempertimbangkan nasihat hukum yang                                   account legal advice where appropriate. Any
          sesuai. Setiap pemulihan yang terjadi diakui                          recoveries made are recognized in profit or
          dalam laba rugi.                                                      loss.




                                                           47
Page 52
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                    h.     Financial Instruments (Continued)

          Penghentian Pengakuan                                                   Derecognition

          (i)   Aset Keuangan                                                     (i)    Financial Assets

                Suatu aset keuangan, atau mana yang                                      A financial asset, or where applicable a
                berlaku, bagian dari aset keuangan atau                                  part of a financial asset or part of a
                bagian dari kelompok aset keuangan                                       group of similar financial assets, is
                sejenis, dihentikan pengakuannya pada                                    derecognized when:
                saat:

                a)   hak kontraktual atas arus kas yang                                  a)     the contractual rights to receive
                     berasal dari aset keuangan tersebut                                        cash flows from the financial asset
                     berakhir; atau                                                             have expired; or
                b)   grup mentransfer hak kontraktual                                    b)     the Group has transferred its
                     untuk menerima arus kas yang                                               contractual rights to receive cash
                     berasal dari aset keuangan atau                                            flows from the financial asset or
                     menanggung kewajiban untuk                                                 has assumed an obligation to pay
                     membayar arus kas yang diterima                                            them in full without material delay
                     tanpa penundaan yang signifikan                                            to a third party under a “pass-
                     kepada pihak ketiga melalui suatu                                          through” arrangement and either
                     kesepakatan penyerahan dan (i)                                             (i) has transferred substantially
                     secara substansial mentransfer                                             all the risks and rewards of the
                     seluruh risiko dan manfaat atas                                            financial asset, or (ii) has neither
                     kepemilikan       aset      keuangan                                       transferred       nor       retained
                     tersebut,     atau     (ii)    secara                                      substantially all the risks and
                     substansial tidak mentransfer dan                                          rewards of the financial asset, but
                     tidak memiliki seluruh risiko dan                                          has transferred control of the
                     manfaat atas kepemilikan aset                                              financial asset.
                     keuangan tersebut, namun telah
                     mentransfer pengendalian atas
                     aset keuangan tersebut.

                Ketika Grup telah mentransfer hak                                        When the Group has transferred its
                untuk menerima arus kas dari aset atau                                   rights to receive cash flows from an
                telah menandatangani kesepakatan                                         asset or has entered into a pass-through
                pelepasan (passthrough arrangement),                                     arrangement,       and    has     neither
                dan secara substansial tidak mentransfer                                 transferred nor retained substantially
                dan tidak memiliki seluruh risiko dan                                    all of the risks and rewards of the asset
                manfaat atas aset keuangan, maupun                                       nor transferred control of the asset, the
                mentransfer pengendalian atas aset, aset                                 asset is recognized to the extent of the
                tersebut diakui sejauh keterlibatan                                      Group’s continuing involvement in the
                berkelanjutan Grup terhadap aset                                         asset.
                keuangan tersebut.




                                                             48
Page 53
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

          Penghentian Pengakuan (Lanjutan)                                        Derecognition (Continued)

          (i)   Aset Keuangan (Lanjutan)                                          (i)    Financial Assets (Continued)

                Keterlibatan    berkelanjutan     yang                                   Continuing involvement that takes the
                berbentuk pemberian jaminan atas aset                                    form of a guarantee over the
                yang ditransfer diukur sebesar jumlah                                    transferred asset is measured at the
                terendah dari jumlah tercatat aset dan                                   lower of the original carrying amount
                jumlah maksimal dari pembayaran yang                                     of the asset and the maximum amount of
                diterima yang mungkin harus dibayar                                      consideration that the Group could be
                kembali.                                                                 required to repay.

                Dalam hal ini, Grup juga mengakui                                        In that case, the Group also recognizes
                liabilitas terkait. Aset yang ditransfer                                 an associated liability. The transferred
                dan liabilitas terkait diukur dengan                                     asset and the associated liability are
                dasar yang mencerminkan hak dan                                          measured on a basis that reflects the
                liabilitas yang masih dimiliki Grup.                                     rights and obligations that the Group
                                                                                         has retained.

                Pada penghentian pengkuan aset                                           On derecognition of a financial asset
                keuangan yang diukur pada biaya                                          measured at amortized cost, the
                perolehan      diamortisasi,     perbedaan                               difference between the asset’s carrying
                antara nilai tercatat aset dan jumlah                                    amount and the sum of the
                imbalan yang diterima dan piutang                                        consideration received and receivable
                diakui dalam laba rugi. Selain itu, pada                                 is recognized in profit or loss. In
                penghentian pengakuan investasi dalam                                    addition, on derecognition of an
                instrumen utang yang diklasifikasikan                                    investment in a debt instrument
                sebagai FVOCI, keuntungan atau                                           classified as at FVOCI, the cumulative
                kerugian kumulatif yang sebelumnya                                       gain or loss previously accumulated in
                diakumulasi dalam cadangan revaluasi                                     the investment revaluation reserve is
                investasi, direklasifikasi ke laba rugi.                                 reclassified to profit or loss.

                Sebaliknya,        pada      penghentian                                 In contrast, on derecognition of an
                pengakuan investasi dalam instrumen                                      investment in an equity instrument
                ekuitas yang telah dipilih Grup pada                                     which the Group has elected on initial
                pengakuan awal untuk diukur di                                           recognition to measure at FVOCI, the
                FVOCI, keuntungan atau kerugian                                          cumulative gain or loss previously
                kumulatif         yang       sebelumnya                                  accumulated     in     the    investment
                diakumulasi dalam cadangan revaluasi                                     revaluation reserve is not reclassified to
                investasi tidak direklasifikasi ke laba                                  profit or loss, but is transferred to
                rugi, tetapi dipindahkan ke saldo laba.                                  retained earnings.




                                                             49
Page 54
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     h.   Instrumen Keuangan (Lanjutan)                                    h.     Financial Instruments (Continued)

          (ii)   Liabilitas Keuangan                                              (ii)   Financial Liabilities

                 Liabilitas     keuangan      dihentikan                                 A financial liability is derecognized
                 pengakuannya ketika liabilitas yang                                     when the obligation specified in the
                 ditetapkan dalam kontrak dihentikan                                     contract is discharged or cancelled or
                 atau dibatalkan atau kedaluwarsa.                                       expired. The difference between the
                 Selisih antara jumlah tercatat liabilitas                               carrying amount of the financial
                 keuangan         yang        dihentikan                                 liability   derecognized      and  the
                 pengakuannya dan imbalan yang                                           consideration paid and payable is
                 dibayarkan dan utang diakui dalam laba                                  recognized in profit or loss.
                 rugi.

                 Ketika liabilitas keuangan saat ini                                     When an existing financial liability is
                 digantikan dengan yang lain dari                                        replaced by another from the same
                 pemberi pinjaman yang sama dengan                                       lender on substantially different terms,
                 persyaratan yang berbeda secara                                         or the terms of an existing liability are
                 substansial, atau modifikasi secara                                     substantially   modified,     such     an
                 substansial atas ketentuan liabilitas                                   exchange or modification is treated as a
                 keuangan yang saat ini ada, maka                                        derecognition of the original liability
                 pertukaran atau modifikasi tersebut                                     and the recognition of a new liability,
                 dicatat sebagai penghapusan liabilitas                                  and the difference in the respective
                 keuangan awal dan pengakuan liabilitas                                  carrying amounts is recognized in profit
                 keuangan baru, dan selisih antara nilai                                 or loss.
                 tercatat liabilitas keuangan tersebut
                 diakui sebagai laba rugi.

     i.   Piutang Premi dan Piutang Reasuransi                              i.    Premium and Reinsurance Receivables

          Piutang premi meliputi tagihan premi kepada                             Premiums receivables consist of receivables
          tertanggung, agen atau broker sebagai akibat                            from policyholders, agents or brokers
          transaksi asuransi. Dalam hal Grup                                      resulting from an insurance transaction. In
          memberikan     potongan     premi    kepada                             case where the Group gives premium
          tertanggung, maka potongan tersebut                                     discount to policyholders, the discount is
          langsung dikurangkan dari piutang preminya.                             reduced directly from the related premiums
                                                                                  receivables.

          Piutang     reasuransi        tidak     boleh                           Reinsurance receivables are not to be offset
          dikompensasikan dengan utang reasuransi,                                against reinsurance payables, unless the
          kecuali    apabila      kontrak     reasuransi                          reinsurance contract specifically allows for
          menyatakan adanya kompensasi. Apabila                                   the right to offset. If a credit balance arises
          dalam kompensasi tersebut timbul saldo                                  from the offsetting of the reinsurance
          kredit, maka saldo tersebut disajikan pada                              receivables and payables, this balance is
          kelompok liabilitas sebagai utang reasuransi.                           presented in the liability section as
                                                                                  reinsurance payable.




                                                             50
Page 55
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     i.   Piutang Premi dan Piutang Reasuransi                           i.     Premium and            Reinsurance         Receivables
          (Lanjutan)                                                            (Continued)

          Grup menelaah penurunan piutang secara                                The Group assesses its receivables for
          berkala. Jika ada bukti objektif bahwa piutang                        impairment on a regular basis. If there is an
          tersebut menurun, Grup mengurangi nilai                               objective evidence that these receivables are
          tercatat piutang sebesar yang dapat                                   impaired, the Group reduces the carrying
          dipulihkan dan mengakui rugi penurunan                                amounts of the receivables to their
          nilai dalam laporan laba rugi dan penghasilan                         recoverable amounts and recognize that
          komprehensif lain konsolidasian.                                      impairment loss in the consolidated statement
                                                                                of profit or loss and other comprehensive
                                                                                income.

          Grup mengumpulkan bukti objektif bahwa                                The Group gathers the objective evidence
          terdapat penurunan nilai piutang dengan                               that a receivable is impaired using the same
          menggunakan proses yang diterapkan untuk                              process adopted for financial assets held at
          aset keuangan atas biaya yang diamortisasi.                           amortized cost.

     j.   Aset Reasuransi                                                j.     Reinsurance Assets

          Aset reasuransi termasuk saldo yang                                   Reinsurance assets include balances expected
          diharapkan dibayarkan oleh perusahaan                                 to be recovered from reinsurance companies
          reasuransi untuk ceded estimasi klaim                                 for ceded estimated reinsurance claims and
          reasuransi, dan ceded premi yang belum                                ceded    unearned      premiums.      Amounts
          merupakan pendapatan. Jumlah manfaat yang                             recoverable from reinsurance are estimated
          ditanggung oleh reasuransi diperkirakan                               in a manner consistent with the liability
          secara konsisten sesuai dengan liabilitas yang                        associated with the reinsured policy.
          terkait dengan polis reasuransi.

          Sebagai bagian dari implementasi PSAK 28,                             As part of the implementation of PSAK 28,
          Grup menyajikan aset reasuransi secara                                the Group presents separately reinsurance
          terpisah sebagai aset atas premi yang belum                           assets of unearned premiums and estimated
          merupakan pendapatan dan estimasi liabilitas                          claim liabilities. Prior to this, insurance
          klaim. Sebelumnya liabilitas asuransi yang                            liabilities that include deferred premium
          mencakup pendapatan premi tangguhan,                                  income, unearned premium income and
          premi yang belum merupakan pendapatan dan                             estimated claims are presented net of
          estimasi klaim dicatat secara neto setelah                            reinsurance portion (own retention).
          porsi aset reasuransi (porsi sendiri).

          PSAK 62 tidak memperkenankan saling                                   PSAK 62 does not allow offseting between:
          hapus antara:

          a.   Aset reasuransi dengan liabilitas                                a.     Reinsurance assets and the related
               asuransi terkait; atau                                                  insurance liabilities; or
          b.   Pendapatan atau beban dari kontrak                               b.     Income or expense from reinsurance
               reasuransi dan beban atau pendapatan                                    contract and expense or income from
               dari kontrak asuransi terkait.                                          the related insurance contract.



                                                           51
Page 56
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     j.   Aset Reasuransi (Lanjutan)                                      j.     Reinsurance Assets (Continued)

          Jika aset reasuransi mengalami penurunan                               If a reinsurance asset is impaired, the Group
          nilai, Grup mengurangi nilai tercatat dan                              reduces the carrying amount accordingly and
          mengakui kerugian penurunan nilai tersebut                             recognizes that impairment loss in
          dalam laporan laba rugi dan penghasilan                                consolidated statement of profit or loss and
          komprehensif lain konsolidasian. Aset                                  other comprehensive income. A reinsurance
          reasuransi mengalami penurunan nilai jika                              asset is impaired if there is objective
          ada bukti objektif, sebagai akibat dari suatu                          evidence, as a result of an event that occurred
          peristiwa yang terjadi setelah pengakuan awal                          after initial recognition of the reinsurance
          aset reasuransi, bahwa Grup tidak dapat                                asset, that the Group may not receive all
          menerima seluruh jumlah karena di bawah                                amounts due to the terms of the contract, and
          syarat-syarat kontrak, dan dampak pada                                 the impact on the amounts that the Group will
          jumlah yang akan diterima dari reasuradur                              receive from the reinsurance can be reliably
          dapat diukur secara andal.                                             measured.

     k.   Kontrak Asuransi                                                k.     Insurance Contracts

          Kontrak asuransi adalah kontrak dimana                                 Insurance contract is a contract under which
          penanggung menerima risiko asuransi yang                               the insurer accepts significant insurance risk
          signifikan dari tertanggung. Risiko asuransi                           from the insured. Significant insurance risk is
          yang signifikan didefinisikan sebagai                                  referred as the possibility of paying
          kemungkinan membayar manfaat yang                                      significantly more benefit to the insured upon
          signifikan kepada tertanggung apabila suatu                            the occurrence of insured event compared to
          kejadian    yang      diasuransikan     terjadi                        the minimum benefit in a scenario where the
          dibandingkan dengan manfaat minimum yang                               insured event does not occur. Scenarios
          akan dibayarkan apabila risiko yang                                    considered are those with commercial
          diasuransikan tidak terjadi. Skenario-skenario                         substance.
          tersebut adalah skenario yang mengandung
          unsur komersial.

     l.   Liabilitas Asuransi                                             l.     Insurance Liabilities

          Liabilitas asuransi diukur sebesar jumlah                              Insurance liabilities are measured at the
          estimasi berdasarkan perhitungan teknis                                amount estimated by the calculation of the
          asuransi.                                                              insurance technical.

          Premi Belum Merupakan Pendapatan                                       Unearned Premiums

          Premi belum merupakan pendapatan adalah                                Unearned premiums are part of the premium
          bagian dari premi yang belum diakui sebagai                            that have not been recognized as revenue
          pendapatan karena masa pertanggungannya                                because the coverage is still running at the
          masih berjalan pada akhir periode akuntansi                            end of the accounting period and presented in
          dan disajikan dalam jumlah bruto. Porsi                                the gross amount. Unearned premiums
          reasuransi atas premi belum merupakan                                  portion of reinsurance is presented as part of
          pendapatan disajikan sebagai bagian dari aset                          the reinsurance asset.
          reasuransi.



                                                            52
Page 57
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     l.   Liabilitas Asuransi (Lanjutan)                                 l.     Insurance Liabilities (Continued)

          Liabilitas asuransi atas kontrak asuransi yang                        Insurance liabilities for insurance contract
          berjangka waktu Iebih dari satu tahun diukur                          with a term of more than one year is
          dengan menggunakan konsep nilai kini                                  measured by using present value of estimated
          estimasi pembayaran seluruh manfaat yang                              payment of all benefit promised including all
          diperjanjikan termasuk seluruh opsi yang                              options available plus present value of all
          disediakan ditambah dengan nilai kini                                 expenses incurred and also has considered
          estimasi seluruh biaya yang akan dikeluarkan                          the future receipt of premium.
          dan juga mempertimbangkan penerimaan
          premi di masa depan.

          Perubahan cadangan premi yang belum                                   Changes in unearned premium reserve, long
          merupakan pendapatan, cadangan asuransi                               term insurance reserves and reinsurance
          jangka panjang dan aset reasuransi dari premi                         assets of unearned premium reserve are
          yang belum merupakan pendapatan diakui                                recognized in the consolidated statement of
          dalam laporan laba rugi dan penghasilan                               profit or loss and other comprehensive
          komprehensif lain konsolidasian pada tahun                            income in the year when the changes occur.
          terjadinya perubahan.

          Estimasi Liabilitas Klaim                                             Estimated Claims Liabilities

          Estimasi liabilitas klaim merupakan estimasi                          The estimated claims liabilities are an
          jumlah liabilitas yang menjadi tanggungan                             estimate of the amount of liabilities to be
          sehubungan dengan klaim yang masih dalam                              borne in connection with claims that are still
          proses penyelesaian, termasuk klaim yang                              in the process of completion, including claims
          terjadi namun belum dilaporkan.                                       incurred but not yet reported.

          Perubahan jumlah estimasi liabilitas klaim,                           Changes in the estimated amount of claims
          sebagai akibat proses penelaahan lebih lanjut                         liabilities, as a result of further review
          dan perbedaan antara jumlah estimasi klaim                            process and the difference between the
          dengan klaim yang dibayarkan diakui dalam                             estimated amounts of the claim with the
          laba rugi pada periode terjadinya perubahan.                          claims paid are recognized in profit or loss in
          Grup tidak mengakui setiap provisi untuk                              the period when the changes occur. The
          kemungkinan klaim masa depan sebagai                                  Group does not recognize any provisions for
          liabilitas jika klaim tersebut timbul                                 possible future claims as a liability if the
          berdasarkan kontrak asuransi yang tidak ada                           claims arising under insurance contracts that
          pada akhir periode pelaporan (seperti provisi                         do not exist at the end of the reporting period
          katastrofa dan provisi penyetaraan).                                  (such as catastrophe provisions and
                                                                                equalization provisions).




                                                           53
Page 58
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     l.   Liabilitas Asuransi (Lanjutan)                                   l.     Insurance Liabilities (Continued)

          Tes Kecukupan Liabilitas                                                Liability Adequacy Test

          Pada akhir periode pelaporan, Grup menilai                              At the end of the reporting period, the Group
          apakah liabilitas asuransi yang diakui telah                            assesses whether recognized insurance
          mencukupi dengan menggunakan estimasi                                   liabilities are sufficient by using current
          kini atas arus kas masa depan terkait dengan                            estimates of future cash flows in accordance
          kontrak asuransi. Jika nilai tercatat liabilitas                        with the insurance contracts. If the carrying
          asuransi setelah dikurangi dengan biaya                                 value of insurance liabilities, net off related
          akuisisi tangguhan terkait tidak mencukupi                              deferred acquisition costs, is insufficient
          dibandingkan dengan estimasi arus kas masa                              compared to the estimated future cash flows,
          depan, maka seluruh kekurangan tersebut                                 then entire deficiency is recognized in the
          diakui dalam laba rugi dan penghasilan                                  consolidated statement of profit or loss and
          komprehensif lain konsolidasian periode                                 other comprehensive income for the period.
          berjalan.

     m.   Persediaan                                                       m.     Inventories

          Persediaan diakui sebesar nilai terendah                                Inventories are valued at the lower of cost
          antara biaya perolehan dan nilai realisasi                              and net realizable value.
          bersih.

          Biaya perolehan persediaan ditentukan                                   The cost of inventories is determined using
          dengan menggunakan metode rata-rata                                     the weighted average method.
          tertimbang.

          Nilai realisasi bersih adalah taksiran harga                            Net realizable value is the estimated selling
          jual dalam kegiatan usaha normal, dikurangi                             price in the ordinary course of business, less
          dengan estimasi biaya penyelesaian dan                                  estimated costs of completion and the
          taksiran biaya yang diperlukan untuk                                    estimated costs necessary to make the sale.
          melaksanakan penjualan.

          Persediaan terdiri atas suku cadang untuk                               Inventories consist of spareparts for repair
          perbaikan dan pemeliharaan kendaraan Grup.                              and maintenance of the Group’s vehicle.

     n.   Aset Biologis                                                    n.     Biological Assets

          Aset biologis terdiri atas produk agrikultur                            Biological assets comprise                of   growing
          bertumbuh.                                                              agricultural produce.

          Produk agrikultur bertumbuh berupa produk                               Growing agricultural produce consist of
          panen yang tumbuh pada tanaman produktif                                harvested product growing on bearer plants
          sampai dengan saat untuk dipanen.                                       up to the point of harvest.




                                                             54
Page 59
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     n.   Aset Biologis (Lanjutan)                                       n.     Biological Assets (Continued)

          Aset biologis diukur pada nilai wajar                                 Biological assets are measured at fair value
          dikurangi dengan biaya untuk menjual.                                 less costs to sell. Gains or losses incurred on
          Keuntungan atau kerugian yang timbul saat                             initial recognition and changes in fair value
          pengakuan awal dan perubahan nilai wajar                              are recognised in the profit or loss for the
          dicatat dalam laba rugi pada saat periode                             period when they arised.
          terjadinya.

     o.   Beban Dibayar di Muka dan Uang Muka                            o.     Prepaid Expenses and Advances

          Biaya dibayar dimuka diamortisasi selama                              Prepaid expenses are charged to operations
          manfaat masing-masing biaya dengan                                    over the periods benefited using the straight-
          menggunakan metode garis lurus. Uang muka                             line method. Advances is part of contractually
          adalah bagian dari kontrak karena dibayar                             due that is paid or received in advance for
          atau diterima di muka untuk barang atau jasa.                         goods or services. Advances are recorded as
          Uang muka di catat sebagai asset dalam                                asset on the statement of financial position.
          laporan posisi keuangan.

     p.   Penyertaan Saham                                               p.     Investment in Shares

          Penyertaan saham merupakan investasi yang                             Investment in shares of stock is an investment
          tidak diperoleh dari pasar modal dan                                  which is not acquired from capital market
          dimaksudkan untuk dimiliki untuk jangka                               and is intended to be held for a long period.
          waktu yang lama. Grup memiliki kepemilikan                            The Group has ownership of less than 20% of
          kurang dari 20% hak suara dan dinyatakan                              the voting power and are stated at cost (cost
          sebesar biaya perolehan (metode biaya),                               method), net of allowance for impairment
          setelah dikurangi penyisihan kerugian                                 losses. Dividend income is recognized when
          penurunan nilai. Pendapatan dividen diakui                            the dividends are declared.
          pada saat pembagian dividen diumumkan.

     q.   Transaksi dengan Pihak-pihak Berelasi                          q.     Transactions with Related Parties

          Pihak-pihak berelasi adalah orang atau entitas                        A related party is a person or entity that is
          yang terkait dengan Grup:                                             related to the Group:

          a.   Orang atau anggota keluarga dekatnya                             a.     Person or a close member of that
               yang mempunyai relasi dengan Grup                                       person's family is related to the Group
               jika orang tersebut:                                                    if that person:




                                                           55
Page 60
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     q.   Transaksi dengan Pihak-pihak Berelasi                            q.     Transactions          with       Related         Parties
          (Lanjutan)                                                              (Continued)

               i)     memiliki      pengendalian   atau                                  i)     has control or joint control over
                      pengendalian bersama atas Grup;                                           the Group;
               ii)    memiliki pengaruh signifikan atas                                  ii)    has significant influence over the
                      Grup; atau                                                                Group; or,
               iii)   personel manajemen kunci Grup                                      iii)   is a member of the key
                      atau entitas induk Grup.                                                  management personnel of the
                                                                                                Group or of a parent of the
                                                                                                Group.

          b.   Suatu entitas berelasi dengan Grup jika                            b.     An entity is related to the Group if any
               memenuhi salah satu hal berikut:                                          of     the      following     conditions
               (Lanjutan)                                                                applies:(Continued)

               i)     entitas dan Grup adalah anggota                                    i)     the entity and the Group are
                      dari grup yang sama (artinya                                              members of the same group
                      entitas induk, entitas anak, dan                                          (which means that each parent,
                      entitas anak berikutnya saling                                            subsidiary and fellow subsidiary
                      berelasi dengan entitas lainnya).                                         is related to the others).
               ii)    satu entitas adalah entitas asosiasi                               ii)    one entity is an associate or joint
                      atau ventura bersama dari entitas                                         venture of the other entity (or an
                      lain (atau entitas asosiasi atau                                          associate or joint venture of a
                      ventura bersama yang merupakan                                            member of a group of which the
                      anggota suatu grup, yang mana                                             other entity is a member).
                      entitas lain tersebut adalah
                      anggotanya).
               iii)   kedua entitas tersebut adalah                                      iii)   both entities are joint ventures of
                      ventura bersama dari pihak ketiga                                         the same third party.
                      yang sama.
               iv)    satu entitas adalah ventura                                        iv)    one entity is a joint venture of a
                      bersama dari entitas ketiga dan                                           third entity and the other entity is
                      entitas yang lain adalah entitas                                          an associate of the third entity.
                      asosiasi dari entitas ketiga.
               v)     entitas tersebut adalah suatu                                      v)     the entity is a post-employment
                      program imbalan paska kerja                                               defined benefit plan for the benefit
                      untuk imbalan kerja dari karyawan                                         of employees of either the Group
                      Grup atau entitas yang terkait                                            or an entity related to the Group.
                      dengan Grup.




                                                             56
Page 61
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     q.   Transaksi dengan Pihak-pihak Berelasi                         q.     Transactions          with       Related         Parties
          (Lanjutan)                                                           (Continued)

               vi)   entitas yang dikendalikan atau                                   vi)  the entity is controlled or jointly
                     dikendalikan bersama oleh orang                                       controlled by a person identified
                     yang diidentifikasi dalam huruf a.                                    in a.
               vii) orang yang diidentifikasi dalam                                   vii) a person identified in a. (i) has
                     huruf a. (i) memiliki pengaruh                                        significant influence over the
                     signifikan atas entitas atau                                          entity or is a member of the key
                     merupakan personil manajemen                                          management personnel of the
                     kunci entitas (atau entitas induk                                     entity (or of a parent of the entity).
                     dari entitas).
               viii) entitas,    atau    anggota   dari                               viii) the entity, or any member of a
                     kelompok yang mana entitas                                             group of which it is a part,
                     merupakan bagian dari kelompok                                         provides      key      management
                     tersebut,      menyediakan    jasa                                     personnel services to the Group or
                     personil manajemen kunci kepada                                        to the parent of the Group.
                     Grup atau kepada entitas induk
                     dari Grup.

          Transaksi Reksa Dana dianggap sebagai                                Transactions with Mutual Funds are
          transaksi dengan pihak berelasi sebagaimana                          considered as transactions with related
          dimaksud dalam PSAK 7, "Pengungkapan                                 parties as defined in PSAK 7, "Related Party
          Pihak Berelasi".                                                     Disclosures".

          Transaksi dengan pihak berelasi dilakukan                            Transactions with related parties are made
          berdasarkan persyaratan yang disetujui oleh                          based on terms agreed by both parties, in
          kedua belah pihak, dimana persyaratan                                which such terms are the same as those of the
          tersebut sama dengan transaksi lain yang                             transactions between unrelated parties.
          dilakukan dengan pihakpihak yang tidak
          berelasi.

          Seluruh transaksi dan saldo yang material                            All significant transactions and balances with
          dengan pihak-pihak berelasi diungkapkan                              related parties are disclosed in the relevant
          dalam catatan atas laporan keuangan                                  notes to the consolidated financial statements
          konsolidasian yang relevan (Catatan 38).                             herein (Note 38).




                                                          57
Page 62
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     r.   Aset Tetap                                                    r.     Property and Equipment

          Tanah dan kendaraan disajikan sebesar nilai                          Land and vehicles are stated at revalued
          revaluasian, berdasarkan penilaian yang                              amounts, based on valuations performed by
          dilakukan oleh penilai independen eksternal                          external independent valuers which are
          yang telah terdaftar di OJK, nilai wajar pada                        registered in OJK, being fair value at the date
          tanggal revaluasi, dikurangi akumulasi                               of revaluation, less any subsequent
          penyusutan     dan     akumulasi     kerugian                        accumulated depreciation and subsequent
          penurunan nilai berikutnya setelah tanggal                           accumulated impairment losses, except for
          revaluasi, kecuali untuk tanah yang tidak                            land which is not depreciated. Revaluation is
          disusutkan. Penilaian atas aset tersebut                             made with sufficient regularity to ensure that
          dilakukan secara berkala untuk memastikan                            the carrying amounts do not differ materially
          bahwa nilai wajar aset yang direvaluasi tidak                        from the determined fair values at the
          berbeda secara material dengan jumlah                                reporting date.
          tercatatnya pada tanggal pelaporan.

          Kenaikan yang berasal dari revaluasi tanah                           Any revaluation increase arising on the
          dan kendaraan langsung dikreditkan ke akun                           revaluation of such land and vehicles is
          ‟Surplus revaluasi aset tetap” pada                                  credited to the “Property and equipment
          penghasilan    komprehensif      lain    dan                         revaluation surplus” account in other
          diakumulasi dalam ekuitas pada bagian                                comprehensive income and accumulated in
          cadangan revaluasi aset tetap, kecuali                               equity under the property and equipment
          sebelumnya penurunan revaluasi atas aset                             revaluation reserve, except to the extent that
          yang sama pernah diakui dalam laba rugi,                             it reverses a revaluation decrease, for the
          dalam hal ini kenaikan revaluasi sehingga                            same asset which was previously recognized
          sebesar penurunan nilai aset akibat revaluasi                        in profit or loss, in which case the increase is
          tersebut, dikreditkan dalam laba rugi.                               credited to profit and loss to the extent of the
          Penurunan jumlah tercatat yang berasal dari                          decrease previously charged. A decrease in
          revaluasi tanah dan kendaraaan dibebankan                            carrying amount arising on the revaluation of
          dalam laba rugi apabila penurunan tersebut                           such land and vehicles is charged to profit or
          melebihi saldo cadangan revaluasi aset tetap                         loss to the extent that it exceeds the balance,
          yang bersangkutan, jika ada.                                         if any, held in the property and equipment
                                                                               revaluation reserve relating to a previous
                                                                               revaluation of such land and vehicles.

          Selain itu, akumulasi penyusutan pada                                In addition, accumulated depreciation as at
          tanggal revaluasi dieliminasi terhadap jumlah                        the revaluation date is eliminated against the
          tercatat bruto dari aset dan jumlah tercatat                         gross carrying amount of the asset and the
          neto setelah eliminasi disajikan kembali                             net asset amount is restated to the revalued
          sebesar jumlah revaluasi dari aset tersebut.                         amount of the asset. Upon disposal, any
          Pada saat penghentian aset, cadangan                                 revaluation reserve relating to the particular
          revaluasi untuk aset tetap yang dijual                               asset being sold is transferred to retained
          dipindahkan ke saldo laba.                                           earnings.




                                                          58
Page 63
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     r.   Aset Tetap (Lanjutan)                                         r.     Property and Equipment (Continued)

          Aset tetap lainnya seperti bangunan,                                 Other property and equipment such as
          peralatan, perabotan kantor dan mesin                                building, office equipment, furniture and
          dinyatakan sebesar biaya perolehan dikurangi                         fixtures and machinery are stated at cost less
          akumulasi penyusutan dan rugi penurunan                              accumulated       depreciation    and     any
          nilai. Biaya perolehan termasuk biaya                                impairment loss. Such cost includes the cost
          penggantian bagian aset tetap saat biaya                             of replacing part of the property and
          tersebut terjadi, jika memenuhi kriteria                             equipment when the cost is incurred, if the
          pengakuan. Selanjutnya, pada saat inspeksi                           recognition criteria are met. Likewise, when
          yang signifikan dilakukan, biaya inspeksi itu                        a major inspection is performed, its cost is
          diakui ke dalam jumlah tercatat aset tetap                           recognized in the carrying amount of the
          sebagai suatu penggantian jika memenuhi                              assets as a replacement if the recognition
          kriteria pengakuan.                                                  criteria are met.

          Semua biaya perbaikan dan pemeliharaan                               All other repairs and maintenance costs that
          yang tidak memenuhi kriteria pengakuan                               do not meet the recognition criteria are
          diakui dalam laba rugi pada saat terjadinya.                         recognized in profit or loss as incurred.

          Penyusutan dihitung dengan menggunakan                               Depreciation is computed using the straight-
          metode garis lurus berdasarkan taksiran masa                         line method over the estimated useful lives of
          manfaat ekonomis aset tetap, sebagai berikut:                        the assets as follows:

                                                               Tahun/
                                                                Years

          Bangunan                                               20                                                       Building
          Peralatan kantor                                      4–5                                              Office equipment
          Perabotan kantor                                      4–8                                          Furniture and fixture
          Mesin                                                   8                                                    Machinery
          Kendaraan sewa                                          8                                        Vehicles held for rental
          Kendaraan kantor                                      4-8                                                Office vehicles

          Tanah dinyatakan berdasarkan nilai wajar dan                         Land is stated at fair value and is not
          tidak disusutkan.                                                    depreciated.

          Biaya pengurusan legal hak atas tanah dalam                          Legal cost of land rights in the form of
          bentuk Hak Guna Usaha (HGU), Hak Guna                                Business Usage Rights (Hak Guna Usaha or
          Bangunan (HGB), dan Hak Pakai (HP) ketika                            HGU), Building Usage Rights (Hak Guna
          tanah diperoleh pertama kali diakui sebagai                          Bangunan or HGB) and Usage Rights (Hak
          bagian dari biaya perolehan tanah pada akun                          Pakai or HP) when the land is acquired
          aset tetap.                                                          initially are recognized as part of the land
                                                                               under property and equipment account.




                                                          59
Page 64
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     r.   Aset Tetap (Lanjutan)                                           r.     Property and Equipment (Continued)

          Grup menganalisa fakta dan keadaan untuk                               The Group analyzes the facts and
          masing-masing jenis hak atas tanah dalam                               circumstances for each type of land rights in
          menentukan akuntansi untuk masing-masing                               determining the accounting for each of these
          hak atas tanah tersebut sehingga dapat                                 land rights so that it can accurately represent
          merepresentasikan dengan tepat suatu                                   an underlying economic event or transaction.
          kejadian atau transaksi ekonomik yang                                  If the land rights do not transfer control of
          mendasarinya. Jika hak atas tanah tersebut                             the underlying assets to the Group, but gives
          tidak mengalihkan pengendalian atas aset                               the rights to use the underlying assets, the
          pendasar      kepada      Grup,      melainkan                         Group applies the accounting treatment of
          mengalihkan hak untuk menggunakan aset                                 these transactions as leases under PSAK 73,
          pendasar, Grup menerapkan perlakuan                                    “Leases”. If land rights are substantially
          akuntansi atas transaksi tersebut sebagai sewa                         similar to land purchases, the Group applies
          berdasarkan PSAK 73, “Sewa”. Jika hak atas                             PSAK 16, “Property, plant and equipment”.
          tanah secara substansi menyerupai pembelian
          tanah, maka Grup menerapkan PSAK 16
          “Aset tetap”.

          Jumlah tercatat aset tetap dihentikan                                  The carrying value of property and
          pengakuannya pada saat dilepaskan atau saat                            equipment is derecognized upon disposal or
          tidak ada manfaat ekonomis masa depan yang                             when no future economic benefits are
          diharapkan dari penggunaannya. Ketika aset                             expected from its use. When property and
          tetap dijual atau dihentikan, biaya perolehan,                         equipment are sold or retired, the cost,
          beban akumulasi penyusutan dan kerugian                                accumulated       depreciation     and     any
          penurunan nilai dieliminasi dari akun.                                 impairment losses are eliminated from the
          Keuntungan atau kerugian yang timbul dari                              accounts. Any gain or loss arising on
          penghentian pengakuan aset diakui dalam                                derecognition of the assets is charged to
          laporan laba rugi konsolidasian pada periode                           consolidated statement of profit or loss in the
          aset tersebut dihentikan pengakuan.                                    period the assets is derecognized.

          Aset dalam penyelesaian dicatat sebesar harga                          Construction in progress are stated at cost,
          perolehan, dikurangi kerugian penurunan nilai                          less any recognized impairment loss. Cost
          yang diakui. Biaya perolehan termasuk biaya                            includes professional fees and, for qualifying
          profesional dan untuk aset kualifikasian, biaya                        assets, borrowing costs capitalized in
          pinjaman yang dikapitalisasi sesuai dengan                             accordance with the Group’s accounting
          kebijakan akuntansi Grup. Penyusutan aset                              policy. Depreciation of an asset commences
          dimulai saat aset tersebut siap untuk digunakan                        when the assets are ready for their intended
          sesuai dengan tujuannya, yaitu pada saat aset                          use, such as when it is in the location and
          tersebut berada pada lokasi dan kondisi yang                           condition necessary for it to be capable of
          diinginkan agar aset siap digunakan sesuai                             operating in the manner intended by
          dengan keinginan dan maksud manajemen.                                 management.

          Nilai residu, estimasi masa manfaat dan                                The residual values, estimated useful lives,
          metode penyusutan ditinjau ulang dan                                   and depreciation method are reviewed and
          disesuaikan, setiap akhir tahun, bila                                  adjusted, at year end, if necessary.
          diperlukan.



                                                            60
Page 65
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     r.   Aset Tetap (Lanjutan)                                          r.     Property and Equipment (Continued)

          Aset tetap yang tidak digunakan lagi dan                              Property     and     equipment     which  is
          ditujukan     untuk      dijual     dihentikan                        discontinued and held for sale, ceased of
          penyusutannya dan diklasifikasikan sebagai                            being depreciated and reclassified as assets
          aset yang dimiliki untuk dijual pada akun aset                        held for sale in other assets account.
          lainnya.

     s.   Properti Investasi                                             s.     Investment Properties

          Properti yang dimiliki untuk disewakan                                Property that is held for long-term rental
          dalam jangka panjang atau untuk kenaikan                              yields or for capital appreciation or both, and
          harga atau keduanya, dan yang tidak                                   that is not occupied by the companies in the
          ditempati oleh perusahaanperusahaan di Grup                           Group, is classified as investment property.
          diklasifikasikan sebagai properti investasi.                          Investment property also includes property
          Properti investasi juga mencakup properti                             that is being constructed or developed for
          yang sedang dikonstruksi atau dikembangkan                            future use as investment property.
          untuk digunakan sebagai properti investasi di
          masa depan.

          Properti    investasi   awalnya     diukur                            Investment property is measured initially at
          berdasarkan biayanya, termasuk biaya                                  its cost, including related transaction costs
          transaksi yang terkait dan biaya pinjaman                             and where applicable borrowing costs.
          yang berlaku.

          Setelah pengakuan awal, properti investasi                            After initial recognition, investment property
          dicatat sebesar nilai wajarnya. Properti                              is carried at fair value. Investment property
          investasi yang sedang dalam pengembangan                              that is being redeveloped for continuing use
          ulang untuk penggunaan lebih lanjut sebagai                           as investment property or for which the
          properti investasi atau ketika pasar menjadi                          market has become less active continues to be
          kurang aktif tetap dicatat sebesar nilai                              measured at fair value. Investment property
          wajarnya. Properti investasi dalam konstruksi                         under construction is measured at fair value
          diukur menggunakan nilai wajar jika nilai                             if the fair value is considered to be reliably
          wajar dianggap dapat diukur secara andal.                             determinable. Investment properties under
          Properti investasi dalam konstruksi yang nilai                        construction for which the fair value cannot
          wajarnya tidak dapat diukur secara andal,                             be determined reliably, but for which the
          tetapi Grup mengharapkan nilai wajarnya                               Group expects that the fair value of the
          dapat diukur secara andal ketika konstruksi                           property will be reliably determinable when
          selesai, diukur senilai biaya dikurangi                               construction is completed, are measured at
          penurunan nilai sampai nilai wajarnya dapat                           cost less impairment until the fair value
          diukur secara andal atau konstruksi                                   becomes        reliably    determinable     or
          diselesaikan - yang mana yang lebih awal.                             construction is completed - whichever is
                                                                                earlier.




                                                           61
Page 66
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     s.   Properti Investasi (Lanjutan)                                   s.     Investment Properties (Continued)

          Terkadang sulit untuk mengukur secara andal                            It may sometimes be difficult to determine
          nilai wajar dari properti investasi dalam                              reliably the fair value of the investment
          konstruksi. Untuk mengevaluasi apakah nilai                            property under construction. In order to
          wajar dari properti investasi dalam konstruksi                         evaluate whether the fair value of an
          dapat diukur secara andal, manajemen                                   investment property under construction can
          mempertimbangkan faktor-faktor berikut,                                be    determined      reliably,   management
          antara lain, provisi dari kontrak konstruksi,                          considers the following factors, among
          tahap penyelesaian, apabila properti standar                           others, the provisions of the construction
          (umum di pasaran) atau tidak standar, tingkat                          contract, the stage of completion, whether the
          keandalan     arus    kas     masuk     setelah                        project/property is standard (typical for the
          penyelesaian, risiko pengembangan spesifik                             market) or non-standard, the level of
          atas properti, pengalaman terdahulu dengan                             reliability of cash inflows after completion,
          konstruksi serupa, dan status izin konstruksi.                         and the development risk specific to the
                                                                                 property, past experience with similar
                                                                                 constructions, and status of construction
                                                                                 permits.

          Nilai wajar didasarkan kepada harga pasar                              Fair value is based on active market prices,
          aktif, disesuaikan, jika perlu, dengan                                 adjusted, if necessary, for differences in the
          perbedaan alam, lokasi atau kondisi dari aset                          nature, location or condition of the specific
          tersebut. Jika informasi tersebut tidak                                asset. If this information is not available, the
          tersedia,   Grup      menggunakan      metode                          Group uses alternative valuation methods,
          penilaian alternatif, seperti harga terbaru di                         such as recent prices on less active markets
          pasar yang kurang aktif atau projeksi arus kas                         or discounted cash flow projections.
          yang didiskontokan. Penilaian dilakukan pada                           Valuations are performed as at the financial
          tanggal laporan keuangan oleh penilai ahli                             position date by professional valuers who
          dengan kualifikasi yang diakui dan relevan                             hold recognized and relevant professional
          dan memiliki pengalaman terbaru atas lokasi                            qualifications and have recent experience in
          dan kategori dari properti investasi dinilai.                          the location and category of the investment
          Penilaian ini membentuk dasar untuk nilai                              property being valued. These valuations form
          tercatat pada laporan keuangan konsolidasian.                          the basis for the carrying amounts in the
          Perubahan nilai wajar diakui di laporan laba                           consolidated financial statements. Changes in
          rugi dan penghasilan komprehensif lain                                 fair values are recognized in the consolidated
          konsolidasian. Properti investasi tidak diakui                         statement of profit or loss and other
          ketika dilepas.                                                        comprehensive income. Investment properties
                                                                                 are derecognized when they have been
                                                                                 disposed.




                                                            62
Page 67
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI             2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     s.   Properti Investasi (Lanjutan)                                  s.     Investment Properties (Continued)

          Penambahan selanjutnya dikapitalisasi ke                              Subsequent expenditure is capitalized to the
          nilai tercatat aset hanya ketika ada                                  asset’s carrying amount only when it is
          keuntungan ekonomi di masa yang akan                                  probable that future economic benefits
          datang dapat dinikmati oleh Grup dari                                 associated with the expenditure will flow to
          penambahan tersebut dan hal tersebut dapat                            the Group and the cost of the item can be
          diukur secara andal. Biaya perbaikan dan                              measured reliably. All other repairs and
          perawatan lainnya akan menjadi biaya saat                             maintenance costs are expensed when
          terjadi. Ketika bagian dari properti investasi                        incurred. When part of an investment
          digantikan, nilai tercatat dari bagian yang                           property is replaced, the carrying amount of
          digantikan tersebut akan dihapus.                                     the replaced part is derecognized.

          Properti investasi dihentikan pengakuannya                            An     investment    property     should    be
          pada saat pelepasan atau ketika properti                              derecognized upon disposal or when the
          investasi tersebut tidak digunakan lagi secara                        investment     property     is    permanently
          permanen dan tidak memiliki manfaat                                   withdrawn from use and no future economic
          ekonomis di masa depan yang dapat                                     benefits are expected from its disposal. Gains
          diharapkan      pada     saat   pelepasannya.                         or losses arising from the retirement or
          Keuntungan atau kerugian yang timbul dari                             disposal of an investment property is credited
          penghentian atau pelepasan properti investasi                         or charged to operations in the year the asset
          diakui dalam laporan laba rugi dalam tahun                            is derecognized.
          terjadinya penghentian atau pelepasan
          tersebut.

          Transfer ke properti investasi dilakukan jika,                        Transfers to investment properties should be
          dan hanya jika, terdapat perubahan                                    made when, and only when, there is a change
          penggunaan yang ditunjukkan dengan                                    in use, evidenced by the end of Investment
          berakhirnya pemakaian oleh pemilik,                                   property is measured initially at its cost,
          dimulainya sewa operasi ke pihak lain atau                            including related transaction costs and where
          selesainya pembangunan atau pengembangan.                             applicable     borrowing      costs    owner-
          Transfer dari properti investasi dilakukan                            occupation, commencement of an operating
          jika, dan hanya jika, terdapat perubahan                              lease to another party or end of construction
          penggunaan yang ditunjukkan dengan                                    or development. Transfers from investment
          dimulainya penggunaan oleh pemilik atau                               properties should be made when, and only
          dimulainya pengembangan untuk dijual.                                 when, there is a change in use, evidenced by
                                                                                the commencement of owner-occupation or
                                                                                commencement of development with a view to
                                                                                sell.




                                                           63
Page 68
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI             2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     s.   Properti Investasi (Lanjutan)                                  s.     Investment Properties (Continued)

          Untuk transfer dari properti investasi ke                             For a transfer from investment properties to
          properti yang digunakan sendiri, biaya yang                           owner occupied property, the deemed cost for
          diperhitungkan untuk akuntansi selanjutnya                            subsequent accounting is the fair value at the
          adalah nilai wajar pada tanggal perubahan                             date of change in use. If an owner-occupied
          penggunaan. Jika properti yang digunakan                              property becomes an investment property, the
          sendiri oleh Grup menjadi properti investasi,                         Group shall record the investment property in
          Grup mencatat properti tersebut sesuai                                accordance with the property and equipment
          dengan kebijakan aset tetap sampai dengan                             policies up to the date of change in use.
          saat      tanggal    terakhir     perubahan
          penggunaannya.

     t.   Sewa                                                           t.     Leases
          Sebagai Penyewa                                                       As Lessee
          Grup menilai apakah sebuah kontrak                                    The Group assesses whether a contract is or
          mengandung sewa, pada tanggal insepsi                                 contains a lease, at the inception of the
          kontrak. Grup mengakui aset hak-guna dan                              contract. The Group recognizes a right-of-use
          liabilitas sewa terkait sehubungan dengan                             asset and a corresponding lease liability with
          seluruh kesepakatan sewa di mana Grup                                 respect to all lease arrangements in which it
          merupakan penyewa, kecuali untuk sewa                                 is the lessee, except for short-term leases
          jangkapendek (yang didefinisikan sebagai                              (defined as leases with a lease term of 12
          sewa yang memiliki masa sewa 12 bulan atau                            months or less) and leases of low-value
          kurang) dan sewa yang aset pendasarnya                                assets. For these leases, the Group
          bernilai-rendah. Untuk sewasewa tersebut,                             recognizes the lease payments as an
          Grup mengakui pembayaran sewa sebagai                                 operating expense on a straight-line basis
          beban operasi secara garis lurus selama masa                          over the term of the lease unless another
          sewa kecuali dasar sistematis lainnya lebih                           systematic basis is more representative of the
          merepresentasikan pola konsumsi manfaat                               time pattern in which economic benefits from
          penyewa dari aset sewa.                                               the leased assets are consumed.

          Liabilitas sewa awalnya diukur pada nilai kini                        The lease liability is initially measured at the
          pembayaran sewa masa depan yang belum                                 present value of the lease payments that are
          dibayarkan pada tanggal permulaan, yang                               not paid at the commencement date,
          didiskontokan menggunakan suku bunga                                  discounted by using the rate implicit in the
          implisit dalam sewa. Jika suku bunga ini                              lease. If this rate cannot be readily
          tidak dapat ditentukan, Grup menggunakan                              determined, the Group uses the incremental
          suku bunga pinjaman inkremental khusus                                borrowing rate specific to the lessee.
          untuk penyewa.




                                                           64
Page 69
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     t.   Sewa (Lanjutan)                                                t.     Leases (Continued)

          Sebagai Penyewa                                                       As Lessee

          Pembayaran sewa yang diperhitungkan dalam                             Lease payments included in the measurement
          pengukuran liabilitas sewa terdiri atas:                              of the lease liability comprise:
          •    pembayaran         tetap       (termasuk                         •      fixed lease payments (including in-
               pembayaran tetap secara-substansi),                                     substance fixed payments), less any
               dikurangai insentif sewa;                                               lease incentives;
          •    pembayaran sewa variabel yang                                    •      variable lease payments that depend on
               bergantung pada indeks atau suku                                        an index or rate, initially measured
               bunga yang pada awalnya diukur                                          using the index or rate at the
               dengan menggunakan indeks atau suku                                     commencement date;
               bunga pada tanggal permulaan;
          •    jumlah      yang    diperkirakan    akan                         •      the amount expected to be payable by
               dibayarkan olehpenyewa dalam jaminan                                    the lessee under residual value
               nilai residual;                                                         guarantees;
          •    harga eksekusi opsi beli jika penyewa                            •      the exercise price of purchase options,
               cukup pasti untuk mengeksekusi opsi                                     if the lessee is reasonably certain to
               tersebut; dan                                                           exercise the options; and
          •    pembayaran penalti karena penghentian                            •      payments of penalties for terminating
               sewa, jika masa sewa merefleksikan                                      the lease, if the lease term reflects the
               penyewa mengeksekusi opsi untuk                                         exercise of an option to terminate the
               menghentikan sewa.                                                      lease.

          Liabilitas sewa disajikan sebagai pos terpisah                        The lease liability is presented as a separate
          dalam laporan posisi keuangan konsolidasian.                          line in the consolidated statement of financial
                                                                                position.

          Liabilitas sewa selanjutnya diukur dengan                             The lease liability is subsequently measured
          meningkatkan     jumlah     tercatat   untuk                          by increasing the carrying amount to reflect
          merefleksikan bunga atas liabilitas sewa                              the interest on the lease liability (using the
          (menggunakan metode suku bunga efektif)                               effective interest method) and by reducing the
          dan dengan mengurangi jumlah tercatat untuk                           carrying amount to reflect the lease payments
          merefleksikan sewa yang telah dibayar.                                made.

          Setiap pembayaran sewa dialokasikan antara                            Each lease payment is allocated between the
          liabilitas dan biaya keuangan. Biaya                                  liability and finance cost. The finance cost is
          keuangan dibebankan pada laba rugi selama                             charged to profit or loss over the lease period
          periode sewa sehingga menghasilkan tingkat                            so as to produce a constant periodic rate of
          suku bunga periodik yang konstan atas saldo                           interest on the remaining balance of the
          liabilitas untuk setiap periode.                                      liability for each period.

          Grup mengukur kembali liabilitas sewa (dan                            The Group remeasures the lease liability (and
          melakukan penyesuaian terkait terhadap aset                           makes a corresponding adjustment to the
          hak-guna) jika:                                                       related right-of-use assets) whenever:



                                                           65
Page 70
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     t.   Sewa (Lanjutan)                                               t.     Leases (Continued)

          Sebagai Penyewa                                                      As Lessee

          •    terdapat perubahan dalam masa sewa                              •      the lease term has changed or there is a
               atau perubahan dalam penilaian atas                                    change in the assessment of the exercise
               eksekusi opsi pembelian, di mana                                       of a purchase option, in which case the
               liabilitas  sewa    diukur    dengan                                   lease liability is remeasured by
               mendiskontokan pembayaran sewa                                         discounting the revised lease payments
               revisian menggunakan tingkat diskonto                                  using a revised discount rate;
               revisian;

          •    terdapat perubahan sewa masa depan                              •      the lease payments change due to
               sebagai akibat dari perubahan indeks                                   changes in an index or rate or a change
               atau perubahan perkiraan pembayaran                                    in expected payment under a
               berdasarkan nilai residual jaminan di                                  guaranteed residual value, in which
               mana liabilitas sewa diukur kembali                                    cases the lease liability is remeasured
               dengan mendiskontokan pembayaran                                       by discounting the revised lease
               sewa revisian menggunakan tingkat                                      payments using the initial discount rate
               diskonto awal (kecuali jika pembayaran                                 (unless the lease payments change is
               sewa berubah karena perubahan suku                                     due to a change in a floating interest
               bunga mengambang, di mana tingkat                                      rate, in which case a revised discount
               diskonto revisian digunakan); atau                                     rate is used); or
          •    kontrak    sewa      dimodifikasi  dan                          •      a lease contract is modified and the
               modifikasi sewa tidak dicatat sebagai                                  lease modification is not accounted for
               sewa terpisah, liabilitas sewa diukur                                  as a separate lease, in which case the
               dengan mendiskontokan pembayaran                                       lease liability is remeasured by
               sewa revisian menggunakan tingkat                                      discounting the revised lease payments
               diskonto revisian.                                                     using a revised discount rate.

          Aset hak-guna terdiri dari pengukuran awal                           The right-of-use assets comprise the initial
          atas liabilitas sewa, pembayaran sewa yang                           measurements of the corresponding lease
          dilakukan pada saat atau sebelum permulaan                           liability, lease payments made at or before
          sewa dan biaya langsung awal. Aset hak-guna                          the commencement day and any initial direct
          selanjutnya diukur sebesar biaya, kecuali                            costs. They are subsequently measured at
          untuk kendaraan yang disewakan yang                                  cost, except for vehicles held for rental which
          disajikan sebesar nilai revaluasi berdasarkan                        are shown at revalued amount based on
          penilaian yang dilakukan oleh penilai                                valuations performed by external independent
          independen eksternal, dikurangi akumulasi                            valuers, less accumulated depreciation and
          penyusutan dan kerugian penurunan nilai.                             impairment losses.




                                                          66
Page 71
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     t.   Sewa (Lanjutan)                                               t.     Leases (Continued)

          Sebagai Penyewa                                                      As Lessee

          Jika Grup dibebankan kewajiban atas biaya                            Whenever the Group incurs an obligation for
          membongkar dan memindahkan aset sewa,                                costs to dismantle and remove a leased asset,
          merestorasi tempat di mana aset berada atau                          restore the site on which it is located or
          merestorasi aset pendasar ke kondisi yang                            restore the underlying assets to the conditions
          disyaratkan oleh syarat dan ketentuan sewa,                          required by the terms and conditions of the
          provisi diakui dan diukur sesuai PSAK 57.                            lease, a provision is recognized and
          Biaya tersebut diperhitungkan dalam aset                             measured under PSAK 57. The costs are
          hak-guna terkait, kecuali jika biaya tersebut                        included in the related right-of-use asset,
          terjadi untuk memproduksi persediaan.                                unless those costs are incurred to produce
                                                                               inventories.

          Aset hak-guna disusutkan secara garis lurus                          Right-of-use assets are depreciated on a
          selama jangka waktu sewa yang lebih pendek                           straight-line basis over the shorter of the
          dan estimasi masa manfaat aset, sebagai                              lease term and the estimated useful lives of
          berikut:                                                             the assets, as follows:

                                                          Tahun/Years

          Kendaraan sewa                                         8                                         Vehicles held for rental
          Gedung kantor                                         2-5                                                Office building

          Jika sewa mengalihkan kepemilikan aset                               If a lease transfers ownership of the
          pendasar atau jika biaya perolehan aset hak-                         underlying assets or the cost of the right-of-
          guna merefleksikan Grup akan mengeksekusi                            use assets reflects that of the Group expects
          opsi beli, aset hak-guna disusutkan selama                           to exercise a purchase option, the related
          masa manfaat aset pendasar. Penyusutan                               right-of-use asset is depreciated over the
          dimulai pada tanggal permulaan sewa.                                 useful life of the underlying assets. The
                                                                               depreciation starts at the commencement date
                                                                               of the lease.

          Aset hak-guna disajikan sebagai bagian dari                          The right-of-use assets are presented as part
          “Aset Tetap” pada laporan keuangan                                   of “Property and Equipment” in the
          konsolidasian.                                                       consolidated financial statements.

          Grup menerapkan PSAK 48 untuk                                        The Group applies PSAK 48 to determine
          menentukan apakah aset hak-guna mengalami                            whether a right-of-use asset is impaired and
          penurunan nilai dan mencatat kerugian                                accounts for any identified impairment loss
          penurunan    nilai   yang     teridentifikasi                        as described in the impairment of non-
          sebagaimana dijelaskan dalam kebijakan                               financial assets policy.
          nonkeuangan aset penurunan nilai.




                                                          67
Page 72
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     t.   Sewa (Lanjutan)                                                 t.     Leases (Continued)

          Sebagai Penyewa                                                        As Lessee

          Sewa variabel yang tidak bergantung pada                               Variable rents that do not depend on an index
          indeks atau suku bunga tidak diperhitungkan                            or rate are not included in the measurements
          dalam pengukuran liabilitas sewa dan aset                              of the lease liability and the right-of-use
          hak-guna.                                                              asset.

          Pembayaran terkait diakui sebagai beban                                The related payments are recognized as an
          dalam periode peristiwa atau kondisi yang                              expense in the period in which the event or
          memicu pembayaran tersebut terjadi dan                                 condition that triggers those payments occur
          dicatat dalam pos "Beban umum dan                                      and are included in the line "General and
          administrasi" dalam laporan laba rugi dan                              administrative expenses" in the consolidated
          penghasilan komprehensif lain konsolidasian.                           statement of profit or loss and other
                                                                                 comprehensive income.

          Sebagai cara praktis, PSAK 73 mengijinkan                              As a practical expedient, PSAK 73 permits a
          penyewa untuk memisahkan komponen non-                                 lessee not to separate non-lease components,
          sewa,    dan     mencatat      masing-masing                           and instead account for any lease and
          komponen sewa dan komponen non-sewa                                    associated non-lease components as a single
          sebagai kesepakatan sewa tunggal. Grup tidak                           arrangement. The Group has not used this
          menggunakan cara praktis ini. Untuk kontrak                            practical expedient. For contracts that
          yang memiliki komponen sewa dan satu atau                              contain a lease component and one or more
          lebih sewa tambahan atau komponen                                      additional lease or non-lease components, the
          nonsewa, Grup mengalokasikan imbalan                                   Group allocates the consideration in the
          dalam kontrak ke setiap komponen sewa                                  contract to each lease component on the basis
          dengan dasar harga jual relatif berdiri sendiri                        of the relative stand-alone price of the lease
          dari komponen sewa dan jumlah agregat                                  component and the aggregate stand-alone
          masing-masing dari komponen non-sewa.                                  price of the non-lease components.

          Grup melakukan perjanjian sewa sebagai                                 The Group enters into lease agreements as a
          pesewa sehubungan dengan beberapa properti                             lessor with respect to some of its investment
          investasinya dan kendaraannya.                                         properties and its vehicles.

          Sewa di mana Grup sebagai pesewa                                       Leases for which the Group is a lessor are
          diklasifikasikan sebagai sewa pembiayaan                               classified as finance or operating leases.
          atau sewa operasi. Ketika persyaratan sewa                             Whenever the terms of the lease transfer
          secara substansial mengalihkan seluruh risiko                          substantially all the risks and rewards of
          dan manfaat yang terkait dengan kepemilikan                            ownership to the lessee, the contract is
          ke penyewa, kontrak tersebut diklasifikasikan                          classified as a finance lease. All other leases
          sebagai sewa pembiayaan. Seluruh sewa                                  are classified as operating leases.
          lainnya diklasifikasikan sebagai sewa operasi.




                                                            68
Page 73
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN             AKUNTANSI             2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                            POLICIES (Continued)

     t.   Sewa (Lanjutan)                                             t.     Leases (Continued)

          Sebagai Penyewa                                                    As Lessee

          Ketika Grup adalah pesewa-antara, Grup                             When the Group is an intermediate lessor, it
          mencatat sewa utama dan subsewa sebagai                            accounts for the head lease and the sublease
          dua kontrak yang terpisah. Subsewa                                 as two separate contracts. The sublease is
          diklasifikasikan sebagai sewa pembiayaan                           classified as a finance or operating lease by
          atau sewa operasi dengan mengacu pada aset                         reference to the right-of-use asset arising
          hak-guna yang timbul dari sewa utama.                              from the head lease.

          Penghasilan sewa dari sewa operasi diakui                          Rental income from operating leases is
          secara garis lurus selama masa sewa yang                           recognized on a straight-line basis over the
          relevan. Biaya langsung awal yang terjadi                          terms of the relevant lease. Initial direct costs
          dalam menegosiasikan dan mengatur sewa                             incurred in negotiating and arranging an
          operasi ditambahkan ke jumlah tercatat aset                        operating lease are added to the carrying
          sewa dan diakui secara garis lurus selama                          amount of the leased assets and recognized
          masa sewa.                                                         on a straight-line basis over the lease term.

          Ketika suatu kontrak mencakup komponen                             When a contract includes lease and non-lease
          sewa dan non-sewa, Grup menerapkan PSAK                            components, the Group applies PSAK 72 to
          72    untuk     mengalokasikan      imbalan                        allocate the consideration under the contract
          berdasarkan kontrak bagi setiap komponen.                          to each component.

     u.   Penurunan Nilai Aset Non-keuangan                           u.     Impairment of Non-financial Assets

          Pada setiap akhir periode pelaporan, Grup                          The Group assesses at each annual reporting
          menilai apakah terdapat indikasi suatu aset                        period whether there is an indication that an
          mengalami penurunan nilai. Jika terdapat                           asset may be impaired. If any such indication
          indikasi tersebut atau pada saat pengujian                         exists, or when annual impairment testing for
          penurunan nilai aset diperlukan, maka Grup                         an asset is required, the Group makes an
          membuat estimasi jumlah terpulihkan aset                           estimate of the asset‟s recoverable amount.
          tersebut.




                                                        69
Page 74
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     u.   Penurunan     Nilai   Aset   Non-keuangan                     u.     Impairment          of     Non-financial          Assets
          (Lanjutan)                                                           (Continued)

          Dalam menghitung nilai pakai, estimasi arus                          In assessing the value in use, the estimated
          kas masa depan bersih didiskontokan ke nilai                         net future cash flows are discounted to their
          kini dengan menggunakan tingkat diskonto                             present value using a pre-tax discount rate
          sebelum pajak yang menggambarkan                                     that reflects current market assessments of
          penilaian pasar terkini atas nilai waktu dari                        the time value of money and the risks specific
          uang dan risiko spesifik dari aset. Dalam                            to the asset. In determining fair value less
          menentukan nilai wajar dikurangi biaya untuk                         costs to sell, recent market transactions are
          menjual, digunakan harga penawaran pasar                             taken into account, if available. If no such
          terakhir, jika tersedia. Jika tidak terdapat                         transactions can be indentified, an
          transaksi tersebut, Perusahaan menggunakan                           appropriate valuation model is used to
          model penilaian yang sesuai untuk                                    determine the fair value of the assets. These
          menentukan nilai wajar aset. Perhitungan-                            calculations are corroborated by valuation
          perhitungan ini dikuatkan oleh penilaian                             multiples or other available fair value
          berganda atau indikasi nilai wajar yang                              indicators.
          tersedia.

          Penilaian dilakukan pada akhir setiap periode                        An assessment is made at each reporting
          pelaporan tahunan apakah terdapat indikasi                           period whether there is any indication that
          bahwa rugi penurunan nilai yang telah diakui                         previously recognized impairment losses
          dalam periode sebelumnya untuk suatu aset                            recognized for an asset may no longer exist
          mungkin tidak ada lagi atau mungkin telah                            or may have decreased. If such indication
          menurun. Jika indikasi dimaksud ditemukan,                           exist, the recoverable amount is estimated.
          maka Grup mengestimasi jumlah terpulihkan
          aset tersebut.

          Kerugian penurunan nilai yang telah diakui                           A previously recognized impairment loss for
          dalam periode sebelumnya untuk suatu aset                            an asset other than goodwill is reversed only
          selain goodwill dibalik hanya jika terdapat                          if there has been a change in the assumptions
          perubahan asumsi-asumsi yang digunakan                               used to determine the asset’s recoverable
          untuk menentukan jumlah terpulihkan aset                             amount since the last impairment loss was
          tersebut sejak rugi penurunan nilai terakhir                         recognized. If that is the case, the carrying
          diakui. Dalam hal ini, jumlah tercatat aset                          amount of the asset is increased to its
          dinaikkan ke jumlah terpulihkannya.                                  recoverable amount.

          Pembalikan tersebut dibatasi sehingga jumlah                         The reversal is limited so that the carrying
          tercatat aset tidak melebihi jumlah                                  amount of the asset does not exceed its
          terpulihkannya maupun jumlah tercatat, neto                          recoverable amount, nor exceed the carrying
          setelah penyusutan, seandainya tidak ada rugi                        amount that would have been determined, net
          penurunan nilai yang telah diakui untuk aset                         of depreciation, had no impairment loss been
          tersebut pada tahun sebelumnya.                                      recognized for the asset in prior years.




                                                          70
Page 75
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     u.   Penurunan      Nilai   Aset    Non-keuangan                     u.     Impairment          of     Non-financial          Assets
          (Lanjutan)                                                             (Continued)

          Pembalikan rugi penurunan nilai diakui                                 Reversal of an impairment loss is recognized
          dalam laporan laba rugi dan penghasilan                                in the consolidated statement of profit or loss
          komprehensif lain konsolidasian, kecuali aset                          and other comprehensive income, unless the
          yang bersangkutan disajikan pada jumlah                                relevant asset is carried at a revalued
          revaluasian, dalam hal ini pembalikan                                  amount, in which case the reversal of the
          kerugian penurunan nilai diperlakukan                                  impairment loss is treated as a revaluation
          sebagai      kenaikan      revaluasi.   Setelah                        increase. After such a reversal, the
          pembalikan tersebut, penyusutan aset tersebut                          depreciation charge on the said asset is
          disesuaikan di periode mendatang untuk                                 adjusted in future periods to allocate the
          mengalokasikan jumlah tercatat aset yang                               asset’s revised carrying amount, less any
          direvisi, dikurangi nilai sisanya, dengan dasar                        residual value, on a systematic basis over its
          yang sistematis selama sisa umur manfaatnya.                           remaining useful life.

     v.   Pajak Penghasilan                                               v.     Income Taxes

          Pertimbangan signifikan dilakukan dalam                                Significant judgment is involved in
          menentukan provisi atas pajak penghasilan                              determining the provision for corporate
          badan. Terdapat transaksi dan perhitungan                              income tax. There are certain transactions
          tertentu yang penentuan pajak akhirnya                                 and computation for which the ultimate tax
          adalah tidak pasti sepanjang kegiatan usaha                            determination is uncertain during the
          normal. Grup mengakui liabilitas atas pajak                            ordinary course of business. The Group
          penghasilan badan berdasarkan estimasi                                 recognizes liabilities for expected corporate
          apakah akan terdapat tambahan pajak                                    income tax issues based on estimates of
          penghasilan badan.                                                     whether additional corporate income tax will
                                                                                 be due.

          Penentuan provisi untuk pajak penghasilan                              Determining provision for corporate income
          badan memerlukan pertimbangan yang                                     tax requires significant judgment by
          signifikan dari manajemen. Ada transaksi dan                           management. There are certain transactions
          perhitungan tertentu yang penentuan pajak                              and computation for which the ultimate tax
          akhirnya tidak pasti selama kegiatan usaha                             determination is uncertain during the
          biasa. Grup mengakui liabilitas atas masalah                           ordinary course of business. The Group
          pajak penghasilan badan yang diharapkan                                recognizes liabilities for expected corporate
          berdasarkan estimasi apakah tambahan pajak                             income tax issues based on estimates of
          penghasilan badan akan terutang. Jika hasil                            whether additional corporate income tax will
          pajak final dari hal-hal tersebut berbeda dari                         be due. Where the final tax outcome of these
          jumlah yang pada awalnya dicatat, perbedaan                            matters is different from the amount that are
          tersebut akan berdampak pada aset dan                                  initially recorded, such differences will have
          liabilitas pajak kini dan tangguhan pada                               an impact on the current and deferred tax
          periode di mana penentuan tersebut dibuat.                             assets and liabilities in the period in which
                                                                                 such determination is made.




                                                            71
Page 76
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     v.   Pajak Penghasilan (Lanjutan)                                   v.     Income Taxes (Continued)

          Pajak Kini                                                            Current Tax

          Beban      pajak    kini dihitung     dengan                          Current tax expense is calculated using tax
          menggunakan tarif pajak yang berlaku pada                             rates that have been enacted or substantively
          tanggal      pelaporan,   dan     ditetapkan                          enacted at end of the reporting period, and is
          berdasarkan taksiran laba kena pajak tahun                            provided based on the estimated taxable
          berjalan. Manajemen secara periodik                                   income for the year. Management
          mengevaluasi posisi yang dilaporkan di Surat                          periodically evaluates positions taken in tax
          Pemberitahuan Tahunan (SPT) sehubungan                                returns with respect to situations in which
          dengan situasi dimana aturan pajak yang                               applicable tax regulation is subject to
          berlaku membutuhkan interpretasi. Jika perlu,                         interpretation. It establishes provision where
          manajemen menentukan provisi berdasarkan                              appropriate on the basis of amounts expected
          jumlah yang diharapkan akan dibayar kepada                            to be paid to the tax authorities.
          otoritas pajak.

          Kekurangan atau kelebihan pembayaran                                  Underpayment or overpayment of corporate
          pajak penghasilan badan dicatat sebagai                               income tax are presented as part of current
          bagian dari beban pajak kini dalam laporan                            income tax expense in the consolidated
          laba rugi dan penghasilan komprehensif lain                           statement of profit or loss and other
          konsolidasian.       Grup       menyajikan                            comprehensive income. The Group presents
          bunga/denda, jika ada, sebagai bagian dari                            interest/penalty, if any, as part of “Other
          “Pendapatan Lain-lain - neto”.                                        income - net”.

          Koreksi terhadap liabilitas perpajakan diakui                         Amendments to tax obligations are recorded
          pada saat surat ketetapan pajak diterima. Jika                        when a tax assessment letter is received. If
          Grup     mengajukan       keberatan,     Grup                         the Group files an appeal, the Group
          mempertimbangkan           apakah       besar                         considers whether it is probable that a
          kemungkinan otoritas pajak akan menerima                              taxation authority will accept the appeal and
          keberatan tersebut dan merefleksikan                                  reflect its effect on the Group’s tax
          dampaknya terhadap liabilitas perpajakan                              obligations.
          Grup.




                                                           72
Page 77
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     v.   Pajak Penghasilan (Lanjutan)                                     v.     Income Taxes (Continued)

          Pajak Tangguhan                                                         Deferred Tax

          Pajak tangguhan diukur dengan metode                                    Deferred tax is provided using the balance
          liabilitas atas beda waktu pada tanggal                                 sheet method on temporary differences at the
          pelaporan antara dasar pengenaan pajak untuk                            reporting date between the tax bases of assets
          aset dan liabilitas dengan nilai tercatatnya                            and liabilities and their carrying amounts for
          untuk tujuan pelaporan keuangan. Liabilitas                             financial reporting purposes. Deferred tax
          pajak tangguhan diakui untuk semua                                      liabilities are recognized for all taxable
          perbedaan temporer kena pajak dengan                                    temporary       differences    with    certain
          beberapa pengecualian. Aset pajak tangguhan                             exceptions. Deferred tax assets are
          diakui untuk perbedaan temporer yang boleh                              recognized      for    deductible   temporary
          dikurangkan dan dan rugi fiskal apabila                                 differences and tax losses carry-forward to
          terdapat kemungkinan besar bahwa jumlah                                 the extent that it is probable that taxable
          laba kena pajak pada masa mendatang akan                                income will be available in future years
          memadai untuk mengkompensasi perbedaan                                  against which the deductible temporary
          temporer dan rugi fiskal.                                               differences and tax losses carry-forward can
                                                                                  be utilized.

          Jumlah tercatat aset pajak tangguhan dikaji                             The carrying amount of a deferred tax asset
          ulang pada akhir periode pelaporan, dan                                 is reviewed at each reporting date and
          mengurangi jumlah tercatat jika kemungkinan                             reduced to the extent that it is no longer
          besar laba kena pajak tidak lagi tersedia                               probable that sufficient taxable income will
          dalam jumlah yang memadai untuk                                         be available to allow all or part of the benefit
          mengkompensasi sebagian atau seluruh aset                               of that deferred tax asset to be utilized.
          pajak tangguhan. Aset pajak tangguhan yang                              Unrecognized deferred tax assets are
          belum diakui dinilai kembali pada setiap                                reassessed at each reporting date and are
          akhir periode pelaporan dan diakui sepanjang                            recognized to the extent that it has become
          kemungkinan besar laba kena pajak                                       probable that future taxable income will
          mendatang akan memungkinkan aset pajak                                  allow the deferred tax assets to be recovered.
          tangguhan tersedia untuk dipulihkan.
          Aset dan liabilitas pajak tangguhan dihitung                            Deferred tax assets and liabilities are
          berdasarkan tarif yang akan dikenakan pada                              measured at the tax rates that are expected to
          periode saat aset direalisasikan atau liabilitas                        apply to the period when the asset is realized
          tersebut diselesaikan, berdasarkan undang-                              or the liability is settled, based on tax laws
          undang pajak yang berlaku atau berlaku                                  that have been enacted or substantively
          secara substantif pada akhir periode laporan                            enacted at the end of reporting period. The
          keuangan konsolidasian. Pengaruh pajak                                  related tax effects of the provisions for and/or
          terkait dengan penyisihan dan/atau pemulihan                            reversals of all temporary differences during
          semua perbedaan temporer selama tahun                                   the year, including the effect of change in tax
          berjalan, termasuk pengaruh perubahan tarif                             rates, are credited or charged to current
          pajak, dikreditkan atau dibebankan pada                                 period operations, except to the extent that
          periode operasi berjalan, kecuali untuk                                 they relate to items previously charged or
          transaksi-transaksi yang sebelumnya telah                               credited to other comprehensive income or
          langsung dibebankan atau dikreditkan ke                                 directly to equity.
          penghasilan komprehensif lain atau langsung
          ekuitas.

                                                             73
Page 78
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI             2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     v.   Pajak Penghasilan (Lanjutan)                                  v.     Income Taxes (Continued)

          Pajak Tangguhan (Lanjutan)                                           Deferred Tax (Continued)

          Aset dan liabilitas pajak tangguhan saling                           Deferred tax assets and liabilities are offset
          hapus saat hak yang dapat dipaksakan secara                          when a legally enforceable right exists to
          hukum ada untuk saling hapus aset pajak kini                         offset current tax assets against current tax
          dan liabilitas pajak kini, atau aset pajak                           liabilities, or the deferred tax assets and the
          tangguhan dan liabilitas pajak tangguhan                             deferred tax liabilities relate to the same
          berkaitan dengan entitas kena pajak yang                             taxable entity, or the Group intends to settle
          sama, atau Grup bermaksud untuk                                      its current assets and liabilities on a net
          menyelesaikan aset dan liabilitas pajak kini                         basis.
          dengan dasar neto.

     w.   Pajak Final                                                   w.     Final Tax

          Sesuai peraturan perpajakan di Indonesia,                            In accordance with the tax regulation in
          pajak final dikenakan atas nilai bruto                               Indonesia, final tax is applied to the gross
          transaksi, dan tetap dikenakan walaupun atas                         value of transactions, even when the parties
          transaksi tersebut pelaku transaksi mengalami                        carrying the transaction recognizing losses.
          kerugian.

          Pajak final tidak termasuk dalam lingkup                             Final tax is scoped out from PSAK 46,
          yang diatur oleh PSAK 46, “Pajak                                     “Income Tax”
          Penghasilan”.

     x.   Imbalan Kerja                                                 x.     Employee Benefits

          Imbalan Kerja Jangka Pendek                                          Short-term Employee Benefits

          Imbalan kerja jangka pendek adalah imbalan                           Short term employee benefits are employee
          kerja yang jatuh tempo dalam jangka waktu                            benefits which are due for payment within
          dua belas bulan setelah akhir periode                                twelve months after the reporting period and
          pelaporan dan diakui pada saat pekerja telah                         recognized when the employees have
          memberikan jasa kerjanya. Kewajiban diakui                           rendered this related service. Liabilities are
          ketika karyawan memberikan jasa kepada                               recognized when the employee renders
          Grup dimana semua perubahan pada nilai                               services to the Group where all changes in
          bawaan dari kewajiban diakui pada laba rugi.                         the carrying amount of the liability are
          Imbalan kerja jangka pendek diakui pada                              recognized in profit or loss. Short term
          “beban akrual” dalam laporan posisi                                  employee benefits are recognized in “accrued
          keuangan konsolidasian.                                              expenses” in the consolidated statement of
                                                                               financial position.




                                                          74
Page 79
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN             AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                             POLICIES (Continued)

     x.   Imbalan Kerja (Lanjutan)                                     x.     Employee Benefits (Continued)

          Imbalan Pascakerja Program Imbalan Pasti                            Defined Benefit Plan

          Pada bulan April 2022, DSAK-IAI                                     In April 2022, DSAK-IAI issued an
          menerbitkan materi penjelasan melalui siaran                        explanatory material through a press release
          pers atas persyaratan pengatribusian imbalan                        regarding attribution of benefits to periods of
          pada periode jasa sesuai PSAK 24, “Imbalan                          service in accordance with PSAK 24,
          Kerja“ yang diadopsi dari IAS 19, “Employee                         “Employee Benefits” which was adopted
          Benefits”. Materi penjelasan tersebut                               from IAS 19, “Employee Benefits”. The
          menyampaikan informasi bahwa pola fakta                             explanatory     material     conveyed       the
          umum dari program pensiun berbasis                                  information that the fact pattern of the
          Undang-undang       Ketenagakerjaan    yang                         pension program based on the Labor Law
          berlaku di Indonesia saat ini memiliki pola                         currently enacted in Indonesia is similar to
          fakta serupa dengan yang ditanggapi dan                             those responded and concluded in the IFRS
          disimpulkan dalam IFRS Interpretation                               Interpretation Committee (IFRIC) Agenda
          Committee (IFRIC) Agenda Decision                                   Decision Attributing Benefit to Periods of
          Attributing Benefit to Periods of Service                           Service (IAS 19).
          (IAS 19).

          Grup mengakui kewajiban imbalan kerja                               The Group recognized unfunded employee
          yang tidak didanai sesuai dengan Peraturan                          benefits liability in accordance with
          Pemerintah No. 35 Tahun 2021 (PP 35/2021)                           Government Regulation No. 35 Year 2021
          yang menerapkan pengaturan Peraturan                                (PP 35/2021) that implement the provisions
          Pemerintah     Pengganti     Undang-Undang                          of Government Regulation in Lieu of Law
          (Perppu) No. 2/2022 tentang Cipta Kerja pada                        (“Perppu”) No. 2/2022 on Job Creation in
          tahun 2022 dan Undang-undang No. 11/2020                            2022 and Law No. 11/2020 on Job Creation
          tentang Cipta Kerja pada tahun 2021.                                in 2021.

          Beban pensiun berdasarkan program dana                              Pension costs under the Company’s defined
          pensiun manfaat pasti Grup ditentukan                               benefit pension plans are determined by
          melalui perhitungan aktuaria secara periodik                        periodic actuarial calculation using the
          dengan menggunakan metode projected-unit                            projected-unit-credit method and applying
          credit dan menerapkan asumsi atas tingkat                           the assumptions on discount rate and annual
          diskonto dan tingkat kenaikan manfaat pasti                         rate of increase in compensation.
          pensiun tahunan.




                                                         75
Page 80
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     x.   Imbalan Kerja (Lanjutan)                                       x.     Employee Benefits (Continued)

          Imbalan Pascakerja Program Imbalan Pasti                              Defined Benefit Plan (Continued)
          (Lanjutan)

          Pengukuran kembali, terdiri dari keuntungan                           Remeasurement, comprising actuarial gains
          dan kerugian aktuarial, yang tercermin                                and losses, is reflected immediately in the
          langsung dalam laporan posisi keuangan yang                           statement of financial position with a charge
          dibebankan atau dikreditkan diakui dalam                              or credit recognized in other comprehensive
          penghasilan komprehensif lain pada periode                            income in the period in which they occur in
          terjadinya untuk mencerminkan aset atau                               order for the net pension asset or liability
          liabilitas pension neto yang diakui pada                              recognized in the statement of financial
          laporan keuangan untuk mencerminkan nilai                             position to reflect the fullvalue of the plan
          penuh dari defisit dan surplus program.                               deficit   and     surplus.      Remeasurement
          Pengukuran       kembali      diakui  dalam                           recognized in other comprehensive income is
          penghasilan komprehensif lain tercermin                               reflected immediately in retained earnings
          segera dalam saldo laba dan tidak akan                                and will not be reclassified to profit or loss.
          direklasifikasi ke laba rugi.

          Biaya jasa lalu diakui dalam laba rugi ketika                         Past service cost is recognized in profit or
          terjadi amendemen program atau kurtailmen,                            loss when the plan amendment or curtailment
          atau     ketika   Grup     mengakui     biaya                         occurs, or when the Group recognizes related
          restrukturisasi terkait atau pesangon, jika                           restructuring costs or termination benefits, if
          lebih dahulu.                                                         earlier.

          Bunga neto dihitung dengan menggunakan                                Net interest is calculated by applying the
          tingkat diskonto terhadap liabilitas atau aset                        discount rate to the net defined benefit
          imbalan pasti neto. Biaya imbalan pasti                               liability or asset. Defined benefit costs are
          dikategorikan sebagai berikut:                                        categorized as follows:

          •    Biaya jasa (termasuk biaya jasa kini,                            •      Service cost (including current service
               biaya jasa lalu serta keuntungan dan                                    cost, past service cost, as well as gains
               kerugian kurtailmen dan penyelesaian);                                  and     losseson     curtailments    and
                                                                                       settlements);
          •    Beban atau pendapatan bunga neto;                                •      Net interest expense or income;
          •    Pengukuran kembali.                                              •      Remeasurement.

          Grup menyajikan dua komponen pertama dari                             The Group presents the first two components
          biaya imbalan pasti di laba rugi. Keuntungan                          of defined benefit costs in profit or loss.
          dan kerugian kurtailmen dicatat sebagai biaya                         Curtailment gains and losses are accounted
          jasa lalu.                                                            for as past service costs.




                                                           76
Page 81
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     y.   Provisi dan Kontinjensi                                         y.     Provisions and Contingencies

          Provisi diakui jika Grup memiliki liabilitas                           Provisions are recognized when the Group
          kini (baik bersifat hukum maupun bersifat                              has a present obligation (legal or
          konstruktif), sebagai akibat peristiwa masa                            constructive) as a result of a past event, it is
          lalu, besar kemungkinan penyelesaian                                   probable that an outflow of resources
          liabilitas tersebut mengakibatkan arus keluar                          embodying economic benefits will be required
          sumber daya yang mengandung manfaat                                    to settle the obligation and a reliable estimate
          ekonomi dan estimasi yang andal mengenai                               can be made of the amount of the obligation.
          jumlah liabilitas tersebut dapat dibuat. Ketika                        Where the Group expects some or all of a
          Grup mengharapkan sebagian atau seluruh                                provision      to     be    reimbursed,      the
          provisi diganti, maka penggantian tersebut                             reimbursement is recognized as a separate
          diakui sebagai aset yang terpisah tetapi hanya                         asset but only when the reimbursement is
          pada saat timbul keyakinan penggantian pasti                           virtually certain. The expense relating to any
          diterima. Beban yang terkait dengan provisi                            provision is presented in profit or loss net of
          disajikan secara neto setelah dikurangi jumlah                         any reimbursement.
          yang diakui sebagai penggantiannya.

          Provisi ditelaah kembali pada setiap tanggal                           Provisions are reviewed at each reporting
          pelaporan        dan     disesuaikan      untuk                        date and adjusted to reflect the current best
          mencerminkan estimasi terbaik yang paling                              estimate. If it is no longer probable that an
          kini. Jika kemungkinan besar tidak terjadi                             outflow of resources embodying economic
          arus keluar sumber daya yang mengandung                                benefits will be required to settle the
          manfaat ekonomi untuk menyelesaikan                                    obligation, the provision is reversed.
          liabilitas tersebut, maka provisi dibatalkan.

          Aset dan kewajiban kontinjensi tidak diakui                            Contingent assets and liabilities are not
          dalam laporan keuangan konsolidasian.                                  recognized in the consolidated financial
          Liabilitas kontinjensi diungkapkan dalam                               statements. Contingent liabilities are
          laporan keuangan konsolidasian, kecuali                                disclosed in the consolidated financial
          kemungkinan arus keluar sumber daya yang                               statements, unless the possibility of an
          mewujudkan manfaat ekonomi bersifat kecil.                             outflow of resources embodying economic
          Aset kontinjensi diungkapkan dalam laporan                             benefits is remote. Contingent assets are
          keuangan      konsolidasian    di     mana                             disclosed in the consolidated financial
          kemungkinan besar terjadi arus masuk                                   statements where an inflow of economic
          manfaat ekonomi.                                                       benefits is probable.

     z.   Beban Emisi Saham                                               z.     Share Issuance Cost

          Beban emisi saham merupakan beban-beban                                Share issuance costs are expenses paid for
          yang dikeluarkan dalam rangka Penawaran                                Public Offering purposes, recorded and
          Umum, dicatat dan disajikan sebagai                                    presented as deduction against "Additional
          pengurang akun “Tambahan Modal Disetor”                                Paid-in Capital" and are not amortized.
          dan tidak diamortisasi.




                                                            77
Page 82
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     aa.   Pengakuan Pendapatan dan Beban                                  aa.    Revenue and Expense Recognition

           Grup telah menerapkan PSAK 72 yang                                     The Group has applied SFAS 72, which
           membutuhkan pendapatan pengakuan untuk                                 requires revenue recognition to fulfill 5 steps
           memenuhi 5 langkah penilaian:                                          of assessment:

           1. Identifikasi kontrak dengan pelanggan.                              1. Identify contract(s) with a customer.

           2. Identifikasi kewajiban pelaksanaan dalam                            2. Identify the performance obligations in the
              kontrak. Kewajiban pelaksanaan adalah                                  contract. Performance obligations are
              janji dalam kontrak untuk mentransfer                                  promises in a contract to transfer to a
              barang atau jasa yang berbeda kepada                                   customer goods or services that are
              pelanggan.                                                             distinct.

           3. Tentukan harga transaksi. Harga transaksi                           3. Determine      the    transaction     price.
              adalah jumlah imbalan yang diharapkan                                  Transaction price is the amount of
              menjadi hak entitas sebagai imbalan untuk                              consideration to which an entity expects to
              mentransfer barang atau jasa yang                                      be entitled in exchange for transferring
              dijanjikan   kepada     pelanggan.   Jika                              promised goods or services to a customer.
              pertimbangan yang dijanjikan dalam                                     If the consideration promised in a contract
              kontrak mencakup jumlah variabel, Grup                                 includes a variable amount, the Group
              memperkirakan jumlah imbalan yang                                      estimates the amount of consideration to
              diharapkan berhak sebagai imbalan atas                                 which it expects to be entitled in exchange
              pengalihan barang atau jasa yang                                       for transferring the promised goods or
              dijanjikan kepada pelanggan dikurangi                                  services to a customer less the estimated
              perkiraan jumlah jaminan tingkat layanan                               amount of service level guarantee which
              yang akan dibayarkan selama masa                                       will be paid during the contract period.
              kontrak.

           4. Alokasikan harga transaksi untuk setiap                             4. Allocate the transaction price to each
              kewajiban pelaksanaan atas dasar harga                                 performance obligation on the basis of the
              jual berdiri sendiri relatif dari setiap                               relative stand-alone selling prices of each
              barang atau jasa berbeda yang dijanjikan                               distinct goods or services promised in the
              dalam kontrak. Jika hal ini tidak dapat                                contract. Where these are not directly
              diamati secara langsung, harga jual berdiri                            observable, the relative stand- alone
              sendiri relatif diestimasi berdasarkan biaya                           selling price are estimated based on
              ekspektasian ditambah marjin.                                          expected cost plus margin.

           5. Mengakui pendapatan ketika kewajiban                                5. Recognise revenue when performance
              pelaksanaan dipenuhi dengan mentransfer                                obligation is satisfied by transferring a
              barang atau jasa yang dijanjikan kepada                                promised goods or services to a customer
              pelanggan (yaitu ketika pelanggan                                      (which is when the customer obtains
              memperoleh kendali atas barang atau jasa).                             control of that goods or services).




                                                             78
Page 83
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     aa.   Pengakuan       Pendapatan     dan     Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                            (Continued)

           Pendapatan diukur berdasarkan imbalan yang                            Revenue is measured based on the
           Grup perkirakan menjadi haknya dalam                                  consideration to which the Group expects to
           kontrak dengan pelanggan dan tidak termasuk                           be entitled in a contract with a customer and
           jumlah yang ditagih atas nama pihak ketiga.                           excludes amounts collected on behalf of third
           Grup     mengakui      pendapatan     ketika                          parties. The Group recognizes revenue when
           mengalihkan pengendalian barang atau jasa                             it transfers control of a product or service to
           kepada pelanggan.                                                     a customer.

           Pendapatan                                                            Revenue

           Saldo Kontrak                                                         Contract Balances

           Kontrak Aset                                                          Contract Assets

           Kontrak aset pada awalnya diakui sebagai                              A contract asset is initially recognized for
           pendapatan yang diperoleh dari jasa yang                              revenue earned from service rendered
           diberikan karena penerimaan imbalan                                   because the receipt of consideration is
           bergantung pada keberhasilan penyelesaian                             conditional on successful completion of the
           jasa tersebut. Setelah penyelesaian jasa dan                          service. Upon completion of the service and
           penerimaan oleh pelanggan, jumlah yang                                acceptance by the customer, the amount
           diakui sebagai kontrak aset direklasifikasi ke                        recognized as contract assets is reclassified
           piutang usaha.                                                        to trade receivables.

           Kontrak Liabilitas                                                    Contract Liabilities

           Kontrak liabilitas diakui jika pembayaran                             A contract liability is recognized if a payment
           diterima atau pembayaran jatuh tempo (mana                            is received or a payment is due (whichever is
           yang lebih awal) dari pelanggan sebelum                               earlier) from a customer before the Group
           Grup mengalihkan barang atau jasa terkait.                            transfers the related goods or services.
           Kontrak liabilitas (diakui juga sebagai                               Contract liabilities (also referred as
           “Pendapatan ditangguhkan” pada laporan                                “Unearned revenue” in the consolidated
           posisi keuangan konsolidasian) diakui                                 statement of financial position) are
           sebagai pendapatan ketika Grup memenuhi                               recognized as revenue when the Group
           kontrak tersebut (yaitu, mengalihkan kendali                          performs under the contract (i.e., transfers
           atas barang dan jasa terkait kepada                                   control of the related goods or services to the
           pelanggan).                                                           customer).




                                                            79
Page 84
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     aa.   Pengakuan     Pendapatan      dan      Beban                 aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                          (Continued)

           Pendapatan (Lanjutan)                                               Revenue (Continued)

           Jasa Manajemen Investasi dan Lainnya                                Investment Management and Other Fees

           Pendapatan dari jasa manajemen diakui pada                          Income from management services is
           saat jasa tersebut diberikan, berdasarkan                           recognized when the services are rendered
           ketentuan dalam kontrak.                                            based on the provisions in the contract.

           Pendapatan jasa manajemen investasi                                 Investment manager income are determined
           ditentukan sesuai dengan ketentuan kontrak                          in accordance with the term of the contract
           dan diakui sebagai pendapatan secara harian.                        and are recognized as income daily.
           Jasa penjualan dan/atau jasa pembelian                              Subscription and/or redemption fees are
           kembali diakui sebagai pendapatan pada saat                         recognized as income when transactions
           terjadi transaksi. Pendapatan discretionary                         incurred. Discretionary income is recognized
           diakui secara bulanan.                                              at monthly basis.

           Jasa konsultasi manajemen diakui pada saat                          Management consultant fees are recognized
           jasa diberikan sesuai dengan ketentuan dalam                        when the services are rendered based on the
           kontrak.                                                            terms of the contracts.

           Performance Fee                                                     Performance Fee

           Performance fee diperoleh ketika Grup                               Performance fee is obtained when the Group
           mencapai target tertentu yang disepakati                            achieves certain targets agreed in
           sesuai dengan Kontrak Pengelolaan Aset                              accordance with the Investment Asset
           Investasi.                                                          Management Contract.

           Pendapatan    Pembiayaan    Konsumen,                               Consumer Financing Income, Finance Lease
           Pendapatan Sewa Pembiayaan, Pendapatan                              Income, Factoring Income
           Anjak Piutang

           Pendapatan     pembiayaan      konsumen,                            Consumer financing income, finance lease
           pendapatan sewa pembiayaan dan pendapatan                           income and factoring income, are recognized
           anjak piutang diakui dengan menggunakan                             using the effective interest method.
           metode suku bunga efektif.




                                                          80
Page 85
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI             2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     aa.   Pengakuan      Pendapatan      dan    Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                           (Continued)

           Pendapatan (Lanjutan)                                                Revenue (Continued)

           Pendapatan      Pembiayaan  Konsumen,                                Consumer Financing Income, Finance Lease
           Pendapatan Sewa Pembiayaan, Pendapatan                               Income, Factoring Income (Continued)
           Anjak Piutang (Lanjutan)

           Suku bunga efektif adalah suku bunga yang                            The effective interest rate is the rate that
           secara tepat mendiskontokan estimasi                                 exactly discounts the estimated future cash
           pembayaran dan penerimaan kas di masa                                payments and receipts through the expected
           datang selama perkiraan umur dari aset                               life of the financial asset or financial liability
           keuangan atau liabilitas keuangan (atau, jika                        (or, where appropriate, a shorter period) to
           lebih tepat, digunakan periode yang lebih                            the carrying amount of the financial asset or
           singkat) untuk memperoleh nilai tercatat dari                        financial liability. When calculating the
           aset keuangan atau liabilitas keuangan. Pada                         effective interest rate, the Group estimates
           saat menghitung suku bunga efektif, Grup                             future cash flows considering all contractual
           mengestimasi arus kas di masa datang dengan                          terms of the financial instrument, but not
           mempertimbangkan seluruh persyaratan                                 future credit losses.
           kontraktual dalam instrumen keuangan
           tersebut, tetapi tidak mempertimbangkan
           kerugian di masa mendatang.

           Perhitungan suku bunga efektif mencakup                              The calculation of the effective interest rate
           seluruh biaya dan bentuk lain yang                                   includes all fees and points paid or received
           dibayarkan atau diterima yang merupakan                              that are an integral part of the effective
           bagian tak terpisahkan dari suku bunga                               interest rate, including transaction costs.
           efektif, termasuk biaya transaksi.

           Pendapatan Jasa Transportasi                                         Transportation Service Income

           Pendapatan jasa, termasuk pendapatan sewa                            Revenue from rendering of services,
           operasi diakui pada saat jasa diberikan,                             including operating lease, is recognized when
           dimana jumlah tercatat dapat diukur dengan                           the services are performed, provided that the
           andal. Pendapatan sewa operasi diakui                                amount can be measured reliably. Operating
           berdasarkan garis lurus sesuai dengan jangka                         lease income is recognized on a straight-line
           waktu kontrak sewa operasi. Angsuran sewa                            basis over the lease term. Lease installment
           operasi yang diterima di muka dicatat sebagai                        received in advance are recorded as
           pendapatan sewa tangguhan dan diakui dalam                           unearned rental income and credited to the
           laporan laba rugi konsolidasian pada saat                            consolidated statement of profit or loss when
           menjadi hak.                                                         earned.

           Piutang atas pendapatan dari sewa yang                               Receivable on rental income from rent that is
           diakui tetapi belum ditagih disajikan sebagai                        recognized but not yet billed are presented as
           “Pendapatan Yang Belum Ditagih” dalam                                “Unbilled Revenues” in the consolidated
           laporan posisi keuangan konsolidasian.                               statement of financial position.



                                                           81
Page 86
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     aa.   Pengakuan      Pendapatan       dan     Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                             (Continued)

           Pendapatan (Lanjutan)                                                  Revenue (Continued)

           Pendapatan Administrasi                                                Administrative Income

           Pendapatan administrasi diakui pada saat                               Administrative income is recognized at the
           perjanjian      pembiayaan     konsumen                                time the consumer financing contracts are
           ditandatangani.                                                        signed.

           Pendapatan Kegiatan Perantara Perdagangan                              Revenue from Brokerage Activities
           Efek

           Pendapatan kegiatan perantara perdagangan                              Revenue from brokerage activities consist of:
           efek berasal dari:

           i)    Komisi perantara perdagangan efek                                i)     Brokerage commissions which are
                 yang diakui berdasarkan tanggal                                         recognized at the transaction date; and
                 transaksi; dan

           ii)   Transaksi efek yaitu perdagangan                                 ii)    Trading of marketable securities which
                 transaksi efek yang lazim dicatat pada                                  are securities transactions in regular-
                 tanggal     perdagangan,      seolah-olah                               way trades are recorded on the trade
                 transaksi efek telah diselesaikan.                                      date, as if they had been settled. Profit
                 Keuntungan dan kerugian yang timbul                                     and loss arising from all securities
                 dari transaksi efek yang merupakan                                      transactions entered into for the account
                 tanggungan dan risiko Grup dicatat                                      and risk of the Group are recorded on a
                 berdasarkan     tanggal     perdagangan.                                trade date basis. Customers' securities
                 Transaksi efek pelanggan dilaporkan                                     transactions are reported on a settlement
                 pada     tanggal    penyelesaian      dan                               date basis with related commission
                 pendapatan komisi dan beban terkait                                     income and expenses reported on a trade
                 dilaporkan pada tanggal perdagangan.                                    date basis. Amounts receivable and
                 Jumlah piutang dan utang dari transaksi                                 payable for securities transactions that
                 efek yang belum mencapai tanggal                                        have not reached their contractual
                 penyelesaian kontrak dicatat bersih                                     settlement date are recorded net on the
                 pada     laporan     posisi     keuangan                                consolidated statement of financial
                 konsolidasian.                                                          position.




                                                             82
Page 87
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     aa.   Pengakuan     Pendapatan      dan    Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                          (Continued)

           Pendapatan (Lanjutan)                                               Revenue (Continued)

           Pendapatan Premi                                                    Premium Income

           Premi yang diperoleh sehubungan dengan                              Premium earned in relation to insurance
           kontrak asuransi dari reasuransi jangka                             contracts of short-term, reinsurance are
           pendek diakui sebagai pendapatan selama                             recognized as revenue over the period of the
           periode polis (kontrak) berdasarkan proporsi                        policy (contract) in proportion to the amount
           jumlah proteksi yang diberikan. Dalam hal                           of protection to the amount of protection
           periode polis berbeda secara signifikan                             provided. In terms of the policy period
           dengan periode risiko (misalnya pada                                differed significantly with the risk period
           penutupan jenis pertanggungan asuransi                              (e.g., at the close of the type of construction
           konstruksi), maka seluruh premi yang                                insurance coverage), all earned premiums
           diperoleh tersebut diakui sebagai pendapatan                        are recognized as revenue over the period of
           selama periode risiko.                                              risk.

           Premi dari polis bersama (coinsurance)                              Premium from coinsurance is recognized as
           diakui sebesar proporsi premi Grup. Premi                           income based on the Group’s proportionate
           hak reasuransi diakui sebagai premi asuransi                        share in the premium. Premium due to
           selama periode kontrak reasuransi secara                            reinsurance company is recognized as
           proporsional dengan proteksi yang diperoleh.                        reinsurance premium during the period of
                                                                               reinsurance contract in proportion to the
                                                                               insurance coverage received.

           Premi belum merupakan pendapatan dari                               Unearned premiums on short-term insurance
           kontrak asuransi jangka pendek ditentukan                           contract determined for each kind of business
           untuk masingmasing jenis pertanggungan                              are calculated based on net premium in
           dihitung berdasarkan premi neto sesuai                              proportion to the number of days until the
           dengan proporsi jumlah hari sampai dengan                           policy expires (proportional daily).
           polis berakhir (proporsional harian).

           Kenaikan atau penurunan premi yang belum                            The increase or decrease in unearned
           merupakan pendapatan adalah selisih antara                          premiums represents the difference of the
           saldo premi yang belum merupakan                                    balances of unearned premiums between the
           pendapatan tahun berjalan dan tahun lalu.                           current and the prior year.

           Premi kontrak asuransi jangka panjang diakui                        Premiums on long-term insurance contract
           sebagai pendapatan pada saat jatuh tempo                            are recognized as revenue on due date of
           dari pemegang polis.                                                policyholders.




                                                          83
Page 88
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                POLICIES (Continued)

     aa.   Pengakuan      Pendapatan      dan     Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                            (Continued)

           Pendapatan (Lanjutan)                                                 Revenue (Continued)

           Pendapatan Premi (Lanjutan)                                           Premium Income (Continued)

           Grup mereasuransikan sebagian risiko atas                             The Group’s reinsured part of its total
           akseptasi pertanggungan yang diperoleh                                accepted risk to other insurance and
           kepada perusahaan asuransi lain dan                                   reinsurance companies. The premium paid to
           perusahaan reasuransi. Jumlah premi dibayar                           the reinsurer or the insurer’s share in the
           atau bagian premi atas transaksi reasuransi                           premium      on    prospective   reinsurance
           prospektif diakui sebagai premi reasuransi                            transaction is recognized as reinsurance
           sesuai periode kontrak reasuransi secara                              premium (contra premium account) over the
           proporsional dengan proteksi yang diberikan.                          reinsurance contract period in proportion to
           Pembayaran atau liabilitas atas transaksi                             the insurance coverage provided. A payment
           reasuransi retrospektif diakui sebagai piutang                        or obligation for retrospective reinsurance
           reasuransi sebesar liabilitas yang dibukukan                          transaction is recognized as reinsurance
           sehubungan dengan kontrak reasuransi                                  receivable from the reinsurer in the amount
           tersebut.                                                             equivalent to the payment made or recorded
                                                                                 liability in relation to the reinsurance
                                                                                 contract.

           Porsi reasuransi atas premi belum merupakan                           Unearned premiums portion of reinsurance is
           pendapatan ditentukan secara konsisten                                determined consistently with the approach
           dengan pendekatan yang digunakan dalam                                usedin determining the unearned premiums,
           menentukan premi yang belum merupakan                                 based on terms and conditions of the
           pendapatan, berdasarkan syarat dan ketentuan                          reinsurance contract.
           dari kontrak reasuransi tersebut.

           Pendapatan Sewa                                                       Rental Income

           Pendapatan sewa yang timbul dari sewa                                 Rental income arising from operating leases
           operasi dicatat dengan metode garis lurus                             is accounted on a straight-line basis over its
           selama masa sewa dan diakui dalam                                     lease terms and is included in revenue due to
           pendapatan sesuai dengan sifat operasinya.                            its operating nature. The advance rental
           Uang muka sewa disajikan dalam akun                                   received from customers rental are presented
           “Pendapatan Sewa Ditangguhkan”.                                       in the consolidated statement of financial
                                                                                 position as “Deferred Rental Income”.




                                                            84
Page 89
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                 AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                  POLICIES (Continued)

     aa.   Pengakuan       Pendapatan       dan    Beban                    aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                              (Continued)

           Pendapatan (Lanjutan)                                                   Revenue (Continued)

           Pendapatan Dividen dan Bunga                                            Dividend and Interest Income

           Pendapatan dividen dari investasi diakui pada                           Dividend income from investments are
           saat hak pemegang saham untuk menerima                                  recognized when the shareholder’s right to
           pembayaran telah ditetapkan (dengan                                     receive payment has been established
           ketentuan bahwa besar kemungkinan manfaat                               (provided that it is probable that the
           ekonomi akan mengalir kepada Grup dan                                   economic benefits will flow to the Group and
           jumlah pendapatan dapat diukur secara                                   the amount of revenue can be measured
           andal).                                                                 reliably).

           Untuk semua instrumen keuangan yang                                     For all financial instruments measured at
           diukur pada biaya perolehan diamortisasi,                               amortized cost, interest income or expense is
           pendapatan atau beban bunga dicatat dengan                              recorded using the effective interest rate,
           menggunakan metode suku bunga efektif,                                  which is the rate that exactly discounts the
           yaitu suku bunga yang secara tepat                                      estimated future cash payments or receipts
           mendiskontokan estimasi pembayaran atau                                 through the expected life of the financial
           penerimaan kas di masa datang selama                                    instrument or a shorter period, where
           perkiraan umur dari instrumen keuangan, atau                            appropriate, to the net carrying amount of the
           jika lebih tepat, digunakan periode yang lebih                          financial asset or liability.
           singkat, sebesar nilai tercatat bersih dari aset
           keuangan atau liabilitas keuangan.

           Pendapatan Keuangan                                                     Finance Income

           Pendapatan bunga dari aset keuangan diakui                              Interest income from a financial asset is
           apabila kemungkinan besar manfaat ekonomi                               recognized when it is probable that the
           akan mengalir ke Grup dan jumlah                                        economic benefits will flow to the Group and
           pendapatan dapat diukur dengan andal.                                   the amount of income can be measured
           Pendapatan bunga diakui atas dasar                                      reliably. Interest income is accrued on a time
           berlalunya waktu dengan mengacu pada                                    basis, by reference to the principal
           pokok aset keuangan dan suku bunga efektif                              outstanding and at the effective interest rate
           yang berlaku yang merupakan suku bunga                                  applicable, which is the rate that exactly
           yang secara tepat mendiskontokan estimasi                               discounts estimated future cash receipts
           penerimaan kas di masa datang selama                                    through the expected life of the financial asset
           perkiraan umur aset keuangan ke nilai tercatat                          to that asset’s net carrying amount on initial
           bersih dari aset pada pengakuan awal.                                   recognition.




                                                              85
Page 90
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     aa.   Pengakuan      Pendapatan     dan     Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                           (Continued)

           Pendapatan (Lanjutan)                                                Revenue (Continued)

           Pendapatan Lainnya                                                   Other Income

           Pendapatan denda keterlambatan dan pinalti                           Late charges and penalty income are
           diakui pada saat denda keterlambatan dan                             recognized when the late charges and penalty
           pinalti diterima.                                                    are received.

           Beban                                                                Expenses

           Beban Usaha                                                          Operating Expenses

           Beban diakui pada saat terjadinya dengan                             Expenses are recognized as incurred on the
           dasar akrual.                                                        accrual basis.

           Beban Klaim                                                          Claim Expenses

           Beban klaim meliputi klaim disetujui (settled                        Claims expense consist of settled claims,
           claims), klaim dalam proses penyelesaian                             claims in process including claims incurred
           termasuk klaim yang terjadi namun belum                              but not yet reported and claim settlement
           dilaporkan dan beban penyelesaian klaim.                             expenses. Claims are recognized as expenses
           Klaim tersebut diakui sebagai beban klaim                            when incurred and liabilities arise due to
           pada saat timbulnya liabilitas untuk                                 claims.
           memenuhi klaim.

           Bagian klaim reasuransi diakui dan dicatat                           Reinsurance     claims     received    from
           sebagai pengurang beban klaim pada periode                           reinsurance companies are recognized as a
           yang sama dengan periode pengakuan beban                             deduction from the claims expense in the
           klaim. Hak subrogasi diakui sebagai                                  same period as the recognition of claims
           pengurang beban klaim pada saat realisasi.                           expense. Subrogation right is recognized as
                                                                                deduction from claims expense when realized.

           Jumlah klaim dalam proses penyelesaian                               Claims in process included claims incurred
           termasuk klaim yang sudah terjadi namun                              but not yet reported, recognized as estimated
           belum dilaporkan, diakui sebagai estimasi                            of claims liabilities which are measured
           liabilitas klaim yang diukur berdasarkan                             based on insurance technical calculations.
           perhitungan teknis asuransi. Perubahan                               The changes in estimated claims liabilities as
           estimasi liabilitas klaim, sebagai akibat                            a result of further review process and the
           proses penelaahan lebih lanjut dan perbedaan                         difference between the estimated amount of
           antara jumlah estimasi klaim dengan klaim                            the claim with the claims paid are recognized
           yang dibayarkan, diakui dalam laba rugi                              in the consolidated profit or loss when
           konsolidasian pada periode terjadinya                                incurred.
           perubahan.




                                                           86
Page 91
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     aa.   Pengakuan      Pendapatan       dan     Beban                   aa.    Revenue     and           Expense         Recognition
           (Lanjutan)                                                             (Continued)

           Beban (Lanjutan)                                                       Expenses (Continued)

           Porsi reasuransi atas estimasi liabilitas klaim                        Estimated reinsurance recoverable for
           ditentukan     secara     konsisten     dengan                         estimated claims liabilities are presented as
           pendekatan      yang      digunakan       dalam                        part of the reinsurance assets and measured
           menentukan      estimasi     liabilitas   klaim                        consistently with the method of measuring the
           berdasarkan syarat dan ketentuan kontrak                               estimated claims liabilities under the related
           reasuransi terkait.                                                    reinsurance contracts.

           Beban Komisi                                                           Commission Expenses

           Komisi yang diberikan kepada pialang                                   Commissions due to insurance brokers,
           asuransi, agen dan perusahaan asuransi lain                            agents and other insurance companies in
           sehubungan         dengan         penutupan                            connection with the insurance coverage are
           pertanggungan dicatat sebagai beban komisi.                            recorded as commission expense when
                                                                                  incurred.

           Komisi yang diperoleh dari transaksi                                   Commissions obtained from reinsurance
           reasuransi dicatat sebagai pengurangan beban                           transactions are recorded as deduction from
           komisi dan diakui dalam laporan laba rugi                              commission expense and recognized when
           dan     penghasilan     komprehensif     lain                          earned. If commission income is greater than
           konsolidasian pada saat terjadinya. Dalam hal                          the commission expense, the difference is
           jumlah komisi yang diperoleh lebih besar dari                          presented as income in the consolidated
           jumlah beban komisi, selisih tersebut                                  statement of profit or loss and other
           disajikan sebagai pendapatan komisi - neto                             comprehensive income.
           dalam laporan laba rugi dan penghasilan
           komprehensif lain konsolidasian.




                                                             87
Page 92
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     ab. Transaksi dan Saldo dalam Mata Uang                            ab.    Foreign Currency                Transactions         and
         Asing dan Translasi Saldo                                             Balances Translation

          Pembukuan Grup diselenggarakan dalam                                 The accounting records of the Group are
          mata uang Rupiah. Transaksi dalam mata                               maintained      in     Rupiah.     Transactions
          uang asing dijabarkan ke dalam Rupiah                                denominated in foreign currencies are
          dengan kurs yang berlaku pada tanggal                                translated into Rupiah at the exchange rates
          transaksi. Pada akhir periode pelaporan, aset                        prevailing at the dates of the transactions. At
          dan liabilitas moneter dalam mata uang asing                         the end of the reporting period, monetary
          dijabarkan ke dalam Rupiah dengan                                    assets and liabilities denominated in foreign
          menggunakan kurs tengah yang ditetapkan                              currencies are translated into Rupiah using the
          oleh Bank Indonesia pada tanggal tersebut.                           middle rates of exchange quoted by Bank
          Laba atau rugi dari selisih kurs mata uang                           Indonesia at such dates. Exchange gains and
          asing dan penjabaran aset dan liabilitas                             losses arising on foreign currency transactions
          moneter dalam mata uang Rupiah diakui                                and on the translation of foreign currency
          dalam laba rugi periode berjalan.                                    monetary assets and liabilities into Rupiah are
                                                                               recognized in the current period profit or loss.

          Transaksi dalam mata uang asing dicatat                              Transactions involving foreign currencies are
          dalam Rupiah berdasarkan kurs yang berlaku                           recorded in Indonesian Rupiah at the rates of
          pada saat transaksi dilakukan. Pada tanggal                          exchange prevailing at the time the
          pelaporan, aset dan liabilitas moneter dalam                         transactions are made. At the reporting date,
          mata uang asing dijabarkan sesuai dengan                             monetary assets and liabilities denominated
          rata-rata kurs jual dan beli yang diterbitkan                        in foreign currencies are adjusted to reflect
          oleh Bank Indonesia pada tanggal transaksi                           the average of the selling and buying rates of
          perbankan terakhir untuk periode yang                                exchange prevailing at the last banking
          bersangkutan, dan laba atau rugi kurs yang                           transaction date of the period, as published
          timbul, dikreditkan atau dibebankan pada                             by Bank Indonesia, and any resulting gains
          operasi periode yang bersangkutan.                                   or losses are credited or charged to
                                                                               operations of the current period.

          Kurs yang digunakan untuk menjabarkan ke                              The exchange rates used for translation into
          mata uang Rupiah, mata uang penyajian                                 Rupiah, the Group’s presentation currency,
          Grup, pada tanggal 30 September 2024 dan                              as at September 30, 2024 and December 31,
          31 Desember 2023 adalah sebagai berikut:                              2023 are as follows:

                                        30 September 2024                31 Desember 2023
          1 Franc Swiss                       17.900                          18.374                                1 Swiss Franc
          1 Euro                              16.852                          17.140                                       1 Euro
          1 Dolar Amerika Serikat             15.138                          15.416                        1 United States Dollar
          1 Dolar Singapura                   11.788                          11.712                           1 Singapore Dollar
          1 Dolar Australia                   10.417                          10.565                           1 Australian Dollar
          1 Yuan China                         2.159                           2.170                              1 Chinese Yuan
          1 Yen Jepang                          106                             110                               1 Japanese Yen




                                                          88
Page 93
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     ab. Transaksi dan Saldo dalam Mata Uang                            ab.    Foreign Currency Transactions                        and
         Asing dan Translasi Saldo (Lanjutan)                                  Balances Translation (Continued)

           Akun-akun dari Entitas Anak luar negeri                             The accounts of foreign Subsidiary are
           dijabarkan dari mata uang pelaporannya                              translated from its respective reporting
           menjadi Rupiah dengan dasar sebagai berikut:                        currency into Indonesian Rupiah on the
                                                                               following basis:

           a)   Aset dan liabilitas, baik moneter                              a)     Assets and liabilities, both monetary
                maupun nonmoneter, dijabarkan dengan                                  and nonmonetary, are translated using
                menggunakan kurs penutup.                                             the closing rate of exchange.
           b)   Pendapatan dan beban dijabarkan                                b)     Revenues and expenses are translated
                dengan menggunakan kurs yang berlaku                                  using transactions date exchange rate
                pada tanggal transaksi atau, bila                                     or, if applicable, the average rate for
                memenuhi syarat, kurs rata-rata periode                               the period.
                tersebut.
           c)   Selisih kurs yang terjadi disajikan                            c)     The resulting exchange difference is
                sebagai “Penghasilan Komprehensif                                     presented as an “Other Comprehensive
                Lain” sebagai bagian dari ekuitas                                     Income” in the equity section until
                sampai pelepasan investasi neto yang                                  disposal of the net investment.
                bersangkutan.

     ac.   Laba Neto per Saham Dasar                                    ac.    Basic Earnings per Share

           Laba neto per saham dasar dihitung dengan                           Basic earnings per share are calculated by
           membagi laba tahun berjalan yang dapat                              dividing net income for the year attributable
           diatribusikan kepada pemilik Entitas Induk                          to ordinary equity holders of the Parent
           dengan rata-rata tertimbang jumlah saham                            Entity by the weighted average number of
           biasa yang beredar pada tahun yang                                  ordinary shares outstanding during the year.
           bersangkutan.

     ad. Informasi Segmen                                               ad.    Segment Information

           Segmen operasi diidentifikasi berdasarkan                           Operating segments are identified on the
           laporan internal mengenai komponen dari                             basis of internal reports about components of
           Grup yang secara regular direviu oleh                               the Group that are regularly reviewed by the
           “pengambil keputusan operasional” dalam                             chief operating decision maker in order to
           rangka mengalokasikan sumber daya dan                               allocate resources to the segments and to
           menilai kinerja segmen operasi.                                     assess their performances.

           Segmen operasi adalah suatu komponen dari                           An operating segment is a component of an
           entitas:                                                            entity:




                                                          89
Page 94
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN               AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                               POLICIES (Continued)

     ad. Informasi Segmen (Lanjutan)                                     ad.    Segment Information (Continued)

           a.   yang terlibat dalam aktivitas bisnis                            a.     that engages in business activities from
                untuk memperoleh pendapatan dan                                        which it may earn revenues and
                menimbulkan        beban   (termasuk                                   incurred expenses (including revenues
                pendapatan dan beban terkait dengan                                    and    expenses    relating    to     the
                transaksi dengan komponen lain dari                                    transactions with other components of
                entitas yang sama);                                                    the same entity);

           b.   yang hasil operasinya dikaji ulang                              b.     whose operating results are reviewed
                secara    regular    oleh  pengambil                                   regularly by the entity’s chief operating
                keputusan operasional untuk membuat                                    decision maker to make decision about
                keputusan tentang sumber daya yang                                     resources to be allocated to the
                dialokasikan pada segmen tersebut dan                                  segments and assess its performance;
                menilai kinerjanya; dan                                                and

           c.   dimana tersedia informasi keuangan                              c.     for which discrete financial information
                yang dapat dipisahkan.                                                 is available.

           Informasi yang digunakan oleh pengambil                              Information reported to the chief operating
           keputusan operasional dalam rangka alokasi                           decision maker for the purpose of resource
           sumber daya dan penillaian kinerja mereka                            allocation and assessment of performance is
           terfokus pada kategori dari setiap produk.                           more specifically focused on the category of
                                                                                each product.

           Pendapatan, beban, hasil, aset dan liabilitas                        Segment revenue, expenses, results, assets
           segmen termasuk hal-hal yang dapat                                   and liabilities include items directly
           diatribusikan secara langsung kepada suatu                           attributable to a segment as well as those that
           segmen serta hal-hal yang dapat dialokasikan                         can be allocated on a reasonable basis to that
           dengan dasar yang memadai untuk segmen                               segment. These are determined before
           tersebut. Segmen ditentukan sebelum saldo                            intragroup      balances    and     intragroup
           dan transaksi antar grup dieliminasi sebagai                         transactions are eliminated.
           bagian dari proses konsolidasi.

     ae.   Pengukuran Nilai Wajar                                        ae.    Fair Value Measurement

           Nilai wajar adalah harga yang akan diterima                          Fair value is the price that would be received
           dari menjual suatu aset atau harga yang akan                         to sell an asset or paid to transfer a liability
           dibayar untuk mengalihkan suatu liabilitas                           in an orderly transaction between market
           dalam transaksi teratur antara pelaku pasar                          participants at the measurement date. The
           pada tanggal pengukuran. Pengukuran nilai                            fair value measurement is based on the
           wajar mengasumsikan bahwa transaksi untuk                            presumption that the transaction to sell the
           menjual aset atau mengalihkan liabilitas                             asset or transfer the liability takes place
           terjadi:                                                             either:




                                                           90
Page 95
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                 POLICIES (Continued)

     ae.   Pengukuran Nilai Wajar (Lanjutan)                               ae.    Fair Value Measurement (Continued)

           i)    Di pasar utama untuk aset atau liabilitas                        i)     In the principal market for the asset or
                 tersebut, atau                                                          liability, or
           ii)   Jika tidak terdapat pasar utama, di pasar                        ii)    In the absence of a principal market, in
                 yang paling menguntungkan untuk aset                                    the most advantageous market for the
                 atau liabilitas tersebut.                                               asset or liability.

           Grup harus memiliki akses ke pasar utama                               The principal or the most advantageous
           atau pasar yang paling menguntungkan.                                  market must be accessible to the Group.

           Nilai wajar dari aset atau liabilitas diukur                           The fair value of an asset or a liability is
           dengan menggunakan asumsi yang akan                                    measured using the assumptions that market
           digunakan pelaku pasar ketika menentukan                               participants would use when pricing the asset
           harga aset atau liabilitas tersebut, dengan                            or liability, assuming that market participants
           asumsi bahwa pelaku pasar bertindak dalam                              act in their economic best interest.
           kepentingan ekonomi terbaiknya.

           Pengukuran nilai wajar dari suatu aset non-                            A fair value measurement of a non-financial
           keuangan memperhitungkan kemampuan                                     asset takes into account a market
           pelaku pasar untuk menghasilkan manfaat                                participant's ability to generate economic
           ekonomik dengan menggunakan aset dalam                                 benefits by using the asset in its highest and
           penggunaan tertinggi dan terbaiknya atau                               best use or by selling it to another market
           dengan menjualnya kepada pelaku pasar lain                             participant that would use the asset in its
           yang akan menggunakan aset tersebut pada                               highest and best use.
           penggunaan tertinggi dan terbaiknya.

           Grup menggunakan teknik penilaian yang                                 The Group uses valuation techniques that are
           sesuai dalam keadaan dan data yang memadai                             appropriate in the circumstances and for
           tersedia untuk mengukur nilai wajar,                                   which sufficient data are available to
           memaksimalkan penggunaan input yang                                    measure fair value, maximizing the use of
           dapat diobservasi yang relevan dan                                     relevant observable inputs and minimizing
           meminimalkan penggunaan input yang tidak                               the use of unobservable inputs.
           dapat diobservasi.




                                                             91
Page 96
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                 AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                  POLICIES (Continued)

     ae.   Pengukuran Nilai Wajar (Lanjutan)                                ae.    Fair Value Measurement (Continued)

           Seluruh aset dan liabilitas, baik yang diukur                           All assets and liabilities for which fair value
           pada nilai wajar, atau nilai wajar aset atau                            is measured or disclosed in the consolidated
           liabilitas tersebut diungkapkan dalam laporan                           financial statements are categorized within
           keuangan konsolidasian, dikategorikan dalam                             the fair value hierarchy, described as follows,
           hirarki nilai wajar, berdasarkan level input                            based on the lowest level input that is
           terendah       yang     signifikan   terhadap                           significant to fair value measurement as a
           keseluruhan pengukuran, sebagai berikut:                                whole:

           Tingkat 1 - Harga        kuotasian      (tanpa                          Level 1 -        Quoted (unadjusted) market
                       penyesuaian) dipasar aktif untuk                                             prices in active markets for
                       aset atau liabilitas yang identik;                                           identical assets or liabilities;

           Tingkat 2 - Teknik penilaian level input                                Level 2 -        Valuation techniques for which
                       terendah    yang     signifikan                                              the lowest level input that is
                       terhadap pengukuran nilai wajar                                              significant to the fair value
                       dapat diobservasi, baik secara                                               measurement is directly or
                       langsung     maupun       tidak                                              indirectly observable;
                       langsung;

           Tingkat 3 - Teknik penilaian level input                                Level 3 -        Valuation techniques for which
                       terendah     yang      signifikan                                            the lowest level input that is
                       terhadap pengukuran nilai wajar                                              significant to the fair value
                       tidak dapat diobservasi                                                      measurement is unobservable.

           Untuk aset dan liabilitas yang diukur pada                              For assets and liabilities that are recognized
           nilai wajar secara berulang dalam laporan                               in the financial statements on a recurring
           keuangan, maka Grup menentukan apakah                                   basis, the Group determines whether
           telah terjadi transfer di antara tingkat hirarki                        transfers have occurred between levels in the
           nilai wajar dengan cara menilai kembali                                 hierarchy by re-assessing categorization at
           pengkategorian tingkat nilai wajar pada setiap                          the end of each reporting period.
           akhir periode pelaporan.

     af.   Saham Treasuri                                                   af.    Treasury Shares

           Instrumen ekuitas sendiri yang diperoleh                                Own equity instruments that are reacquired
           kembali (saham treasuri) diakui sebesar biaya                           (treasury shares) are recognized at cost and
           perolehan dan dikurangkan dari ekuitas.                                 deducted from equity. No gain or loss is
           Tidak ada keuntungan atau kerugian yang                                 recognized in the consolidated statement of
           diakui dalam laporan laba rugi dan                                      profit or loss and other comprehensive
           penghasilan komprehensif lain konsolidasian                             income on the purchase, sale, issue or
           atas pembelian, penjualan, penerbitan atau                              cancellation of the Parent Entity’s own equity
           pembatalan instrumen ekuitas milik Entitas                              instruments. Any difference between the
           Induk. Perbedaan antara jumlah tercatat dan                             carrying amount and the consideration, if
           pertimbangan, jika diterbitkan kembali,                                 reissued, is recognized either in “additional
           diakui dalam “tambahan modal disetor” atau                              paid-in capital” or in “retained earnings”.
           “saldo laba”.


                                                              92
Page 97
                                                                         The original consolidated financial statements included herein are in
                                                                                                                          Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN                  AKUNTANSI               2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                                   POLICIES (Continued)

     ag.   Aset Tidak Lancar yang Dimiliki Untuk                             ag.    Non-current Assets Held for Sale and
           Dijual dan Operasi yang Dihentikan                                       Discontinued Operations

           Aset tidak lancar (atau kelompok lepasan)                                Non-current assets (or disposal groups)
           diklasifikasi sebagai yang dimiliki untuk                                classified as held for sale are measured at the
           dijual diukur pada nilai yang lebih rendah                               lower of their carrying amount and fair value
           antara jumlah tercatat dan nilai wajar setelah                           less cost to sell.
           dikurangi biaya untuk menjual.

           Aset tidak lancar yang dimiliki untuk dijual                             Non-current assets (or disposal groups) are
           (atau kelompok lepasan) diklasifikasi sebagai                            classified as held for sale if their carrying
           dimiliki untuk dijual jika jumlah tercatatnya                            amount will be recovered principally through
           akan dipulihkan terutama melalui transaksi                               a sale transaction rather than through
           penjualan dari pada melalui pemakaian                                    continuing use. This condition is regarded as
           berlanjut. Kondisi ini dianggap terpenuhi                                met only when the asset (or disposal group) is
           hanya ketika aset (atau kelompok lepasan)                                available for immediate sale in its present
           berada dalam keadaan segera dapat dijual                                 condition subject only to terms that are usual
           dengan syarat-syarat yang biasa dan umum                                 and customary for sales of such asset (or
           yang diperlukan dalam penjualan aset (atau                               disposal group) and its sale is highly
           kelompok lepasan) tersebut dan penjualannya                              probable. Management must be committed to
           harus sangat mungkin terjadi. Manajemen                                  the sale, which should be expected to qualify
           harus memiliki komitmen untuk menjual dan                                for recognition as a completed sale within
           penjualan diharapkan untuk diselesaikan                                  one year from the date of classification.
           dalam waktu satu tahun sejak tanggal
           klasifikasi.

           Kerugian penurunan nilai awal atau                                       An impairment loss is recognized for any
           selanjutnya diakui atas penurunan nilai aset                             initial or subsequent write down of the asset
           (atau kelompok lepasan) ke nilai wajar                                   (or disposal group) to fair value less costs to
           dikurangi dengan biaya untuk menjual aset.                               sell. A gain is recognized for any subsequent
           Keuntungan diakui atas peningkatan nilai                                 increases in fair value less costs to sell of an
           wajar dikurangi biaya untuk menjual aset                                 asset (or disposal group), but not in excess of
           (atau kelompok lepasan), tetapi tidak boleh                              any cumulative impairment loss previously
           melebihi akumulasi rugi penurunan nilai yang                             recognized. A gain or loss not previously
           telah diakui sebelumnya. Keuntungan atau                                 recognized by the date of the sale of the non-
           kerugian yang sebelumnya tidak diakui pada                               current asset (or disposal group) is
           tanggal penjualan aset tidak lancar (atau                                recognized at the date of derecognition.
           kelompok lepasan) diakui pada tanggal
           penghentian pengakuan.

           Aset tidak lancar yang diklasifikasikan                                  Non-current assets classified as held for sale
           sebagai dimiliki untuk dijual dan aset dalam                             and the assets of a disposal group classified
           kelompok lepasan yang dimiliki untuk dijual                              as held for sale are presented separately from
           disajikan secara terpisah dari aset lainnya                              the other assets in the consolidated statement
           dalam laporan posisi keuangan konsolidasian.                             of financial position. The liabilities of a
           Liabilitas dalam kelompok lepasan yang                                   disposal group classified as held for sale are
           diklasifikasikan sebagai dimiliki untuk dijual                           presented separately from other liabilities in
           disajikan secara terpisah dari liabilitas lainnya                        the consolidated statement of financial
           dalam laporan posisi keuangan konsolidasian.                             position.

                                                               93
Page 98
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


2.   IKHTISAR    KEBIJAKAN              AKUNTANSI              2.       SUMMARY OF SIGNIFICANT ACCOUNTING
     SIGNIFIKAN (Lanjutan)                                              POLICIES (Continued)

     ag.   Aset Tidak Lancar yang Dimiliki Untuk                        ag.    Non-current Assets Held for Sale and
           Dijual dan Operasi yang Dihentikan                                  Discontinued Operations (Continued)
           (Lanjutan)

           Operasi yang dihentikan adalah komponen                             A discontinued operation is a component of
           entitas    yang   telah    dilepaskan  atau                         the entity that has been disposed of or is
           diklasifikasikan sebagai (a) dimiliki untuk                         classified as held for sale and that represents
           dijual dan mewakili lini usaha atau area                            (a) a separate major line of business or
           geografis operasi utama yang terpisah, (b)                          geographical area of operations, (b) is part
           merupakan bagian dari suatu rencana tunggal                         of a single co-ordinated plan to dispose of
           terkoordinasi untuk melepaskan lini usaha                           such a line of business or area of operations,
           atau area operasi, atau (c) merupakan suatu                         or (c) is a subsidiary acquired exclusively
           entitas anak yang diperoleh secara khusus                           with a view to resale.
           dengan tujuan dijual kembali.

     ah. Peristiwa setelah Periode Pelaporan                            ah. Events after the Reporting Period

           Peristiwa setelah periode pelaporan yang                            Events after the reporting period that provide
           memberikan informasi tambahan tentang                               additional information about the Group’s
           posisi Grup pada periode pelaporan                                  position at the reporting period (adjusting
           (menyesuaikan peristiwa) tercermin dalam                            events) are reflected in the consolidated
           laporan keuangan konsolidasian. Peristiwa                           financial statements. Events after the
           setelah periode pelaporan yang tidak                                reporting period that are not adjusting
           menyesuaikan     peristiwa,     jika    ada,                        events, if any, are disclosed when material to
           diungkapkan ketika material terhadap laporan                        the consolidated financial statements.
           keuangan konsolidasian.

     ai.   Selisih Kepentingan Non Pengendali                          ah. Difference in Value of transaction with Non-
                                                                           controlling Interest

           Selisih transaksi dengan nonpengendali                             The difference between transactions with non-
           merupakan selisih yang terjadi dari                                controlling parties is the difference that
           transaksi dengan pihak nonpengendali yang                          occurs from transactions with non-controlling
           mengakibatkan      terjadinya  perubahan                           parties which result in changes in ownership,
           kepemilikan, baik yang menyebabkan                                 either causing an increase or decrease in the
           terjadinya kenaikan maupun penurunan                               percentage of ownership in the subsidiary
           persentase kepemilikan pada entitas anak                           without resulting in loss of control and the
           tanpa       mengakibatkan       hilangnya                          difference that occurs from transactions with
           pengendalian dan selisih yang terjadi dari                         non-controlling parties is the difference
           transaksi dengan pihak nonpengendali                               between the amount of the adjustment on non-
           tersebut merupakan perbedaan antara                                controlling interests at the fair value of the
           jumlah penyesuaian atas kepentingan                                consideration given or received.
           nonpengendali dengan nilai wajar imbalan
           yang diberikan atau diterima.




                                                          94
Page 99
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                            3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                   KEY    SOURCES    OF    ESTIMATION
     ESTIMASI                                                          UNCERTAINTY

     Penyusunan laporan keuangan konsolidasian Grup                    The preparation of the Group’s consolidated
     mengharuskan manajemen untuk membuat                              financial statements requires management to make
     pertimbangan, estimasi, dan asumsi yang                           judgments, estimates, and assumptions that affect
     mempengaruhi jumlah yang dilaporkan dan                           the reported amounts herein, and the related
     pengungkapan yang terkait, pada akhir periode                     disclosures, at the end of the reporting period.
     pelaporan. Ketidakpastian mengenai asumsi dan                     However, uncertainty about these assumptions and
     estimasi tersebut dapat mengakibatkan penyesuaian                 estimates could result in outcomes that require a
     material terhadap nilai tercatat pada aset dan                    material adjustment to the carrying amount of the
     liabilitas dalam periode pelaporan berikutnya.                    asset or liability affected in future periods.

     Pertimbangan                                                      Judgments

     Dalam proses penerapan kebijakan akuntansi Grup,                  In the process of applying the Group’s accounting
     manajemen telah membuat keputusan berikut, yang                   policies, management has made the following
     memiliki pengaruh paling signifikan terhadap                      judgments, which have the most significant effect
     jumlah yang diakui dalam laporan keuangan                         on the amounts recognized in the consolidated
     konsolidasian:                                                    financial statements:

     Penilaian Model Bisnis                                            Business Model Assessment

     Klasifikasi dan pengukuran aset keuangan                          Classification and measurement of financial assets
     bergantung pada hasil SPPI dan uji model bisnis.                  depends on the results of the SPPI and the business
     Grup menentukan model bisnis pada tingkat yang                    model. The Group determines the business model
     mencerminkan bagaimana kelompok aset keuangan                     at a level that reflects how groups of financial
     dikelola bersama untuk mencapai tujuan bisnis                     assets are managed together to achieve a
     tertentu. Penilaian ini mencakup penilaian yang                   particular business objective. This assessment
     mencerminkan semua bukti yang relevan termasuk                    includes judgment reflecting all relevant evidence
     bagaimana kinerja aset dievaluasi dan kinerjanya                  including how the performance of the assets is
     diukur, risiko yang memengaruhi kinerja aset dan                  evaluated and their performance measured, the
     bagaimana hal ini dikelola dan bagaimana manajer                  risks that affect the performance of the assets and
     aset diberi kompensasi. Grup memantau aset                        how these are managed and how the managers of
     keuangan yang diukur pada biaya perolehan                         the assets are compensated. The Group monitors
     diamortisasi atau nilai wajar melalui penghasilan                 financial assets measured at amortized cost or fair
     komprehensif lain yang dihentikan pengakuannya                    value through other comprehensive income that are
     sebelum jatuh tempo untuk memahami alasan                         derecognized prior to their maturity to understand
     pelepasannya dan apakah alasan tersebut konsisten                 the reason for their disposal and whether the
     dengan tujuan bisnis aset tersebut dimiliki.                      reasons are consistent with the objective of the
     Pemantauan adalah bagian dari penilaian                           business for which the asset was held. Monitoring
     berkelanjutan Grup atas apakah model bisnis di                    is part of the Group’s continuous assessment of
     mana aset keuangan yang tersisa dimiliki tetap                    whether the business model for which the
     sesuai dan jika tidak sesuai apakah telah terjadi                 remaining financial assets are held continues to be
     perubahan dalam model bisnis dan dengan                           appropriate and if it is not appropriate whether
     demikian terdapat perubahan prospektif terhadap                   there has been a change in business model and so a
     klasifikasi aset keuangan tersebut. Tidak ada                     prospective change to the classification of those
     perubahan yang diperlukan selama periode yang                     assets. No such changes were required during the
     disajikan.                                                        periods presented.



                                                         95
Page 100
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                           3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                  KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                              UNCERTAINTY (Continued)

     Pertimbangan (Lanjutan)                                          Judgments (Continued)

     Penentuan Mata Uang Fungsional                                   Determination of Functional Currency

     Mata uang fungsional Grup adalah mata uang dari                  The functional currency of the Group is the
     lingkungan ekonomi primer Grup beroperasi. Mata                  currency of the primary economic environment in
     uang tersebut adalah mata uang yang                              which each entity operates. It is the currency that
     mempengaruhi pendapatan dan beban dari jasa                      mainly influences the revenue and cost of rendering
     yang diberikan. Berdasarkan penilaian manajemen                  services. Based on the Group’s management
     Grup, mata uang fungsional adalah Rupiah.                        assessment, the Group’s functional currency is
                                                                      Rupiah.

     Menentukan    Waktu     Pemenuhan    Kewajiban                   Determining the Timing                of    Satisfaction      of
     Pelaksanaan                                                      Performance Obligations

     Grup menyimpulkan bahwa pendapatan atas jasa                     The Group concluded that revenue for services
     yang diberikan harus diakui sepanjang waktu                      rendered is to be recognized over time because the
     karena pelanggan secara bersamaan menerima dan                   customer simultaneously receives and consumes
     menikmati manfaat yang diberikan oleh Grup.                      the benefits provided by the Group. The fact that
     Fakta bahwa entitas lain tidak perlu untuk                       another entity would not need to re-perform the
     melakukan kembali jasa yang telah diberikan Grup                 service that the Group has provided to date
     saat ini menunjukkan bahwa pelanggan secara                      demonstrates that the customer simultaneously
     bersamaan menerima dan menikmati manfaat dari                    receives and consumes the benefits of the Group’s
     pelaksanaan Grup saat melaksanakannya.                           performance as it performs.

     Grup menentukan bahwa metode masukan adalah                      The Group determined that the input method is the
     metode terbaik dalam mengukur kemajuan jasa                      best method in measuring progress of the services
     karena terdapat hubungan langsung antara upaya                   because there is a direct relationship between the
     Grup (yaitu, jam tenaga kerja yang terjadi) dan                  Group’s effort (i.e., labor hours incurred) and the
     pengalihan jasa tersebut kepada pelanggan.                       transfer of service to the customer.

     Menentukan Masa Sewa Kontrak dengan Opsi                         Determining the Lease Term of Contracts with
     Pembaruan dan Penghentian - Grup sebagai                         Renewal and Termination Options - Group as
     Penyewa                                                          Lessee

     Grup menentukan bahwa masa sewa sebagai masa                     The Group determines the lease term as the non-
     sewa yang tidak dapat dibatalkan, bersamaan                      cancellable term of the lease, together with any
     dengan periode yang tercakup dalam opsi                          periods covered by an option to extend the lease if
     perpanjangan sewa, jika dieksekusi secara wajar                  it is reasonably certain to be exercised, or any
     dan pasti, atau periode yang tercakup dalam opsi                 periods covered by an option to terminate the
     penghentian sewa, jika tidak dieksekusi secara                   lease, if it is reasonably certain not to be exercised.
     wajar dan pasti.




                                                        96
Page 101
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                               3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                      KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                  UNCERTAINTY (Continued)

     Pertimbangan (Lanjutan)                                              Judgments (Continued)

     Menentukan Masa Sewa Kontrak dengan Opsi                             Determining the Lease Term of Contracts with
     Pembaruan dan Penghentian - Grup sebagai                             Renewal and Termination Options - Group as
     Penyewa (Lanjutan)                                                   Lessee (Continued)

     Grup     menerapkan       pertimbangan    dalam                      The Group applies judgment in evaluating whether
     mengevaluasi apakah wajar dan pasti untuk                            it is reasonably certain whether or not to exercise
     mengeksekusi opsi untuk pembaruan atau                               the option to renew or terminate the lease. For
     penghentian sewa atau tidak. Untuk kontrak sewa                      lease contracts with extension or termination
     dengan opsi perpanjangan dan penghentian,                            options, management need to estimate the lease
     manajemen perlu mengestimasi masa sewa yang                          term which requires consideration of all facts and
     memerlukan pertimbangan semua fakta dan                              circumstances that creates an economic incentive
     keadaan yang menimbulkan insentif ekonomi untuk                      to exercise an extension option or not to exercise
     mengeksekusi opsi perpanjangan dan tidak                             termination options, including any expected
     mengeksekusi opsi penghentian, termasuk setiap                       changes in facts and circumstances from
     perubahan yang diharapkan dalam fakta dan                            commencement date until the exercise date of the
     keadaan dari tanggal permulaan hingga tanggal                        options.
     pengeksekusian opsi tersebut.

     Opsi perpanjangan (atau periode setelah opsi                         Extension options (or periods after termination
     penghentian) hanya dimasukkan dalam persyaratan                      options) are only included in lease terms if the
     sewa jika Grup cukup yakin untuk mengeksekusi                        Group is reasonably certain to exercise the
     opsi perpanjangan dan tidak mengeksekusi opsi                        extension options or not to exercise the termination
     penghentian. Jika terdapat peristiwa signifikan atau                 options. If a significant event or a significant
     perubahan keadaan yang signifikan yang                               change in circumstances occurs which affects this
     mempengaruhi penilaian ini dan masih dalam                           assessment and that is within the control of the
     kendali penyewa, maka penilaian diatas akan                          lessee, the above assessment will be reviewed.
     ditelaah kembali.

     Komitmen Sewa Operasi - Grup sebagai Pesewa                          Operating Lease Commitments - Group as Lessor

     Grup telah menandatangani sewa properti                              The Group has entered into commercial property
     komersial atas portofolio properti investasi dan                     leases on its investment property portfolio and
     kendaraannya.      Grup      telah    menentukan,                    vehicles. The Group has determined, based on
     berdasarkan evaluasi syarat dan ketentuan                            evaluation of the terms and conditions of the
     perjanjian, seperti jangka waktu sewa tidak                          arrangements, such as the lease term not
     merupakan bagian utama dari manfaat ekonomi                          constituting a major part of the economic life of the
     properti komersial dan nilai kini pembayaran sewa                    commercial property and the present value of the
     minimum yang tidak secara substansial sejumlah                       minimum lease payments not amounting to
     semua nilai wajar dari properti komersial tersebut,                  substantially all of the fair value of the commercial
     bahwa Grup mempertahankan secara substansial                         property, that it retains substantially all the risks
     semua resiko dan manfaat yang terkait dengan                         and rewards incidental to ownership of these
     kepemilikan properti tersebut dan kontrak sebagai                    properties and accounts for the controls as
     sewa operasi.                                                        operating leases.




                                                            97
Page 102
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                               3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                      KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                  UNCERTAINTY (Continued)

     Estimasi dan Asumsi                                                  Estimates and Assumptions

     Asumsi utama masa depan dan ketidakpastian                           The key assumptions concerning the future and other
     sumber estimasi utama yang lain pada tanggal                         key sources of estimation uncertainty at the
     pelaporan yang memiliki risiko signifikan bagi                       reporting date, that have a significant risk of
     penyesuaian yang material terhadap nilai tercatat                    causing a material adjustment to the carrying
     aset dan liabilitas untuk tahun berikutnya                           amounts of assets and liabilities within the next
     diungkapkan di bawah ini. Grup mendasarkan                           financial year, are described below. The Group
     asumsi dan estimasi pada parameter yang tersedia                     based its assumptions and estimates on parameters
     pada saat laporan keuangan konsolidasian disusun.                    available when the consolidated financial statements
     Asumsi dan situasi mengenai perkembangan masa                        were prepared. Existing circumstances and
     depan mungkin berubah akibat perubahan pasar atau                    assumptions about future developments however,
     situasi di luar kendali Grup. Perubahan tersebut                     may change due to market changes or circumstances
     dicerminkan dalam asumsi terkait pada saat                           arising beyond the control of the Group. Such
     terjadinya.                                                          changes are reflected in the assumptions when they
                                                                          occur.

     Penyisihan atas ECL Piutang                                          Allowance for ECLs on Receivables

     Grup menggunakan matriks provisi untuk                               The Group uses a provision matrix to calculate
     menghitung ECL piutang usaha dan kontrak aset.                       ECLs for trade receivables and contract assets.
     Tingkat provisi didasarkan pada hari lewat jatuh                     The provision rates are based on days past due for
     tempo untuk pengelompokan berbagai segmen                            groupings of various customer segments that have
     pelanggan yang memiliki pola kerugian yang                           similar loss patterns (i.e., by geography, product
     serupa (yaitu, menurut geografi, jenis produk, jenis                 type, customer type and rating, and coverage by
     dan peringkat pelanggan, dan pertanggungan                           letters of credit and other forms of credit
     berdasarkan surat kredit dan bentuk asuransi kredit                  insurance).
     lainnya).

     Matriks provisi awalnya didasarkan pada tingkat                      The provision matrix is initially based on the
     default yang diamati secara historis Grup. Grup                      Group’s historical observed default rates. The
     akan mengkalibrasi matriks untuk menyesuaikan                        Group will calibrate the matrix to adjust the
     pengalaman kerugian kredit historis dengan                           historical credit loss experience with forward-
     informasi berwawasan ke depan. Misalnya, jika                        looking information. For instance, if forecast
     prakiraan kondisi ekonomi (yaitu, produk domestik                    economic conditions (i.e., gross domestic product)
     bruto) diperkirakan akan memburuk selama tahun                       are expected to deteriorate over the next year
     depan yang dapat menyebabkan peningkatan                             which can lead to an increased number of defaults,
     jumlah default, maka tingkat default historis                        the historical default rates are adjusted. At every
     disesuaikan. Pada setiap tanggal pelaporan, tingkat                  reporting date, the historical observed default rates
     default yang diamati secara historis diperbarui dan                  are updated and changes in the forward-looking
     perubahan dalam estimasi berwawasan ke depan                         estimates are analyzed.
     dianalisa.




                                                            98
Page 103
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                              3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                     KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                 UNCERTAINTY (Continued)

     Estimasi dan Asumsi (Lanjutan)                                      Estimates and Assumptions (Continued)

     Penilaian korelasi antara tingkat default yang                      The assessment of the correlation between
     diamati secara historis, prakiraan kondisi ekonomi,                 historical observed default rates, forecast
     dan ECL adalah estimasi signifikan. Jumlah ECL                      economic conditions and ECLs is a significant
     sensitif terhadap perubahan keadaan dan prakiraan                   estimate. The amount of ECLs is sensitive to
     kondisi ekonomi. Pengalaman kerugian kredit                         changes in circumstances and of forecast economic
     historis Grup dan prakiraan kondisi ekonomi                         conditions. The Group’s historical credit loss
     mungkin tidak mewakili default aktual pelanggan                     experience and forecast of economic conditions
     di masa depan.                                                      may also not be representative of customer’s actual
                                                                         default in the future.

     Nilai tercatat piutang Grup pada tanggal                            The carrying amounts of the Group’s receivables
     30 September 2024 dan 31 Desember 2023                              as at September 30, 2024 and December 31, 2023
     diungkapkan masing-masing dalam Catatan 7, 8,                       are disclosed in Notes 7, 8, and 9, respectively.
     dan 9.

     Penilaian Instrumen Keuangan                                        Valuation of Financial Instruments

     Grup mencatat aset dan liabilitas keuangan tertentu                 The Group carries certain financial assets and
     pada nilai wajar, yang mengharuskan penggunaan                      liabilities at fair values, which requires the use of
     estimasi     akuntansi.   Sementara      komponen                   accounting estimates. While significant components
     signifikan atas pengukuran nilai wajar ditentukan                   of fair value measurement were determined using
     menggunakan bukti objektif yang dapat                               verifiable objective evidences, the amount of
     diverifikasi, jumlah perubahan nilai wajar dapat                    changes in fair values would differ if the Group
     berbeda bila Grup menggunakan metodologi                            utilized different valuation method. Any changes in
     penilaian yang berbeda. Perubahan nilai wajar aset                  fair values of these financial assets and liabilities
     dan     liabilitas  keuangan      tersebut    dapat                 would affect directly the Group’s profit or loss. The
     mempengaruhi secara langsung laba atau rugi                         fair value of financial assets and liabilities are set
     Grup. Nilai wajar aset keuangan dan liabilitas                      out in Note 43.
     keuangan diungkapkan pada Catatan 43.




                                                           99
Page 104
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                                 3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                        KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                    UNCERTAINTY (Continued)

     Estimasi dan Asumsi (Lanjutan)                                         Estimates and Assumptions (Continued)

     Revaluasi Aset Tetap dan Nilai Wajar Properti                          Revaluation of Property and Equipment and Fair
     Investasi                                                              Value of Investment Properties

     Grup mencatat properti investasi pada nilai wajar,                     The Group carries its investment properties at fair
     dengan perubahan nilai wajar yang diakui dalam                         value, with changes in fair value being recognized in
     laporan laba rugi. Selain itu, pengukuran aset tetap                   profit or loss. In addition, it measures of property
     berupa tanah dan kendaraan pada nilai revaluasi                        and equipment such as land and vehicles at revalued
     dengan perubahan nilai wajar diakui dalam                              amounts with changes in fair value being recognized
     penghasilan komprehensif lain. Grup menggunakan                        in other comprehensive income. The Group engaged
     spesialis penilai independen untuk menentukan                          independent valuation specialists to determine the
     nilai wajar pada tanggal 31 Desember 2023 untuk                        fair values of investment properties and properties
     properti investasi dan aset tetap. Untuk aset tetap                    and equipment as at December 31, 2023. For
     penilai dan properti investasi penilai menggunakan                     property and equipment and investment property,
     pendekatan rata-rata tertimbang pasar (metode                          the valuer using the weighted average between
     perbandingan       langsung)      dan     pendekatan                   market approach (direct market comparison
     pendapatan (metode gross income multiplier).                           method) and income approach (gross income
     Asumsi utama yang digunakan untuk menentukan                           multiplier method). The key assumptions used to
     nilai wajar aset tetap, dijelaskan lebih lanjut dalam                  determine the fair value of the property and
     Catatan 11.                                                            equipment and investment properties are further
                                                                            disclosed in Note 11.

     Taksiran Masa Manfaat Ekonomis Aset Tetap                              Estimated Useful Lives of Property and Equipment

     Biaya perolehan aset tetap disusutkan dengan                           The costs of property and equipment are
     menggunakan metode garis lurus berdasarkan                             depreciated on a straight-line basis over their
     taksiran masa manfaat ekonomisnya. Manajemen                           estimated useful lives. Management estimates the
     mengestimasi masa manfaat ekonomis aset tetap                          useful lives of these property and equipment to be
     antara 4 sampai dengan 20 tahun. Masa manfaat                          within 4 to 20 years. The useful life of each item of
     setiap aset tetap Grup ditentukan berdasarkan                          the Group’s property and equipment is estimated
     periode kegunaan yang diharapkan dari aset                             based on the period over which the asset is
     tersebut.                                                              expected to be available for use.

     Estimasi ini ditentukan berdasarkan evaluasi teknis                    Such estimation is based on internal technical
     internal dan pengalaman atas aset sejenis. Masa                        evaluation and experience with similar assets. The
     manfaat setiap aset direviu secara periodik dan                        estimated useful life of each asset is reviewed
     disesuaikan apabila prakiraan berbeda dengan                           periodically and updated if expectations differ from
     estimasi sebelumnya karena keausan, keusangan                          previous estimates due to physical wear and tear,
     teknis dan komersial, hukum atau keterbatasan                          technical or commercial obsolescence and legal or
     lainnya atas pemakaian aset. Namun, terdapat                           other limits on the use of the asset. It is possible,
     kemungkinan bahwa hasil operasi di masa                                however, that future results of operations could be
     mendatang dapat dipengaruhi secara signifikan                          materially affected by changes in the amounts and
     oleh perubahan atas jumlah serta periode                               timing of recorded expenses brought about by
     pencatatan beban yang diakibatkan karena                               changes in the factors mentioned above.
     perubahan faktor yang disebutkan di atas.



                                                             100
Page 105
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                                3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                       KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                   UNCERTAINTY (Continued)

     Estimasi dan Asumsi (Lanjutan)                                        Estimates and Assumptions (Continued)

     Taksiran Masa Manfaat Ekonomis Aset Tetap                             Estimated Useful Lives of Property and Equipment
     (Lanjutan)                                                            (Continued)

     Perubahan masa manfaat aset tetap dapat                               A change in the estimated useful life of any item of
     mempengaruhi jumlah beban penyusutan yang                             property and equipment would affect the recorded
     diakui dan penurunan nilai tercatat aset tersebut.                    depreciation expense and decrease in the carrying
                                                                           values of these assets.

     Nilai tercatat aset tetap diungkapkan dalam                           The carrying values of property and equipment are
     Catatan 11.                                                           disclosed in Note 11.

     Penurunan Nilai Aset Non-keuangan                                     Impairment of Non-financial Assets

     Penurunan nilai muncul saat nilai tercatat aset atau                  An impairment exists when the carrying value of an
     Unit Penghasil Kas (UPK) melebihi nilai                               asset or Cash Generating Unit (CGU) exceeds its
     terpulihkannya, yang lebih besar antara nilai wajar                   recoverable amount, which is the higher of its fair
     dikurangi biaya untuk menjual dan nilai pakainya.                     value less costs to sell and its value in use. The fair
     Nilai wajar dikurangi biaya untuk menjual                             value less costs to sell calculation is based on
     didasarkan pada ketersediaan data dari perjanjian                     available data from binding sales transactions in
     penjualan yang mengikat yang dibuat dalam                             an arm’s length transaction of similar assets or
     transaksi normal atas aset serupa atau harga pasar                    observable market prices less incremental costs for
     yang dapat diamati dikurangi dengan biaya                             disposing of the asset. The value in use calculation
     tambahan yang dapat diatribusikan dengan                              is based on a discounted cash flow model. The cash
     pelepasan aset. Perhitungan nilai pakai didasarkan                    flows are derived from the budget for the next five
     pada model arus kas yang didiskontokan. Data arus                     years and do not include restructuring activities
     kas diambil dari anggaran untuk lima tahun yang                       that the Group is not yet committed to or
     akan datang dan tidak termasuk aktivitas                              significant future investments that will enhance the
     restrukturisasi yang belum dilakukan oleh Grup                        asset’s performance of the CGU being tested. The
     atau investasi signifikan di masa datang yang akan                    recoverable amount is most sensitive to the
     memutakhirkan kinerja aset dari UPK yang diuji.                       discount rate used for the discounted cash flow
     Nilai terpulihkan paling dipengaruhi oleh tingkat                     model as well as the expected future cash inflows
     diskonto yang digunakan dalam model arus kas                          and the growth rate used for extrapolation
     yang didiskontokan, sebagaimana juga jumlah arus                      purposes.
     kas masuk di masa datang yang diharapkan dan
     tingkat pertumbuhan yang digunakan untuk tujuan
     ekstrapolasi.

     Manajemen berpendapat bahwa tidak ada indikasi                        Management believes that there is no indication of
     potensi penurunan nilai aset non-keuangan pada                        potential impairment of non-financial assets as at
     tanggal 30 September 2024 dan 31 Desember 2023.                       September 30, 2024 and December 31, 2023.




                                                            101
Page 106
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                               3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                      KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                  UNCERTAINTY (Continued)

     Estimasi dan Asumsi (Lanjutan)                                       Estimates and Assumptions (Continued)

     Imbalan Pascakerja dan Pensiun                                       Pension and Employee Benefits

     Penentuan utang dan biaya pensiun dan liabilitas                     The determination of the Group’s obligations and
     imbalan kerja Grup bergantung pada pemilihan                         cost for pension and employee benefits liabilities is
     asumsi yang digunakan oleh aktuaris independen                       dependent on its selection of certain assumptions
     dalam menghitung jumlah-jumlah tersebut. Asumsi                      used by the independent actuaries in calculating
     tersebut termasuk antara lain, tingkat diskonto,                     such amounts. Those assumptions include among
     tingkat kenaikan gaji tahunan, tingkat pengunduran                   others, discount rates, future annual salary
     diri karyawan tahunan, tingkat kecacatan, umur                       increase, annual employee turn-over rate,
     pensiun dan tingkat mortalitas.                                      disability rate, retirement age and mortality rate.

     Hasil aktual yang berbeda dari asumsi yang                           Actual results that differ from the Group’s
     ditetapkan Grup diakui segera pada laporan posisi                    assumptions are recognized immediately in the
     keuangan konsolidasian dengan debit atau kredit ke                   consolidated statement of financial position with a
     saldo laba melalui penghasilan komprehensif                          corresponding debit or credit to retained earnings
     lainnya dalam periode terjadinya. Sementara Grup                     through other comprehensive income in the period
     berkeyakinan bahwa asumsi tersebut adalah wajar                      which they occur. While the Group believes that its
     dan sesuai, perbedaan signifikan pada hasil aktual                   assumptions are reasonable and appropriate,
     atau perubahan signifikan dalam asumsi yang                          significant differences in the Group’s actual
     ditetapkan Grup dapat mempengaruhi secara                            experiences or significant changes in the Group
     material liabilitas diestimasi atas pensiun dan                      assumptions may materially affect its estimated
     imbalan kerja dan beban imbalan kerja neto. Nilai                    liabilities for pension and employee benefits and
     tercatat liabilitas imbalan kerja diungkapkan pada                   net employee benefits expense. The carrying
     Catatan 21.                                                          amount of the employee benefits obligation are
                                                                          disclosed in Note 21.

     Pajak Penghasilan                                                    Income Tax
     Pertimbangan        signifikan   dilakukan   dalam                   Significant judgment is involved in determining the
     menentukan provisi atas pajak penghasilan badan.                     provision for corporate income tax. There are
     Terdapat transaksi dan perhitungan tertentu yang                     certain transactions and computation for which the
     penentuan pajak akhirnya adalah tidak pasti                          ultimate tax determination is uncertain during the
     sepanjang kegiatan usaha normal. Grup mengakui                       ordinary course of business. The Group recognizes
     liabilitas atau pajak penghasilan badan berdasarkan                  liabilities for expected corporate income tax issues
     estimasi apakah akan terdapat tambahan pajak                         based on estimates of whether additional corporate
     penghasilan badan. Rincian lebih lanjut                              income tax will be due. Further details are
     diungkapkan dalam Catatan 19.                                        disclosed in Note 19.

     Penentuan provisi untuk pajak penghasilan badan                      Determining provision for corporate income tax
     memerlukan pertimbangan yang signifikan dari                         requires significant judgment by management.
     manajemen. Ada transaksi dan perhitungan tertentu                    There are certain transactions and computation for
     yang penentuan pajak akhirnya tidak pasti selama                     which the ultimate tax determination is uncertain
     kegiatan usaha biasa. Grup mengakui liabilitas atas                  during the ordinary course of business. The Group
     masalah pajak penghasilan badan yang diharapkan                      recognizes liabilities for expected corporate
     berdasarkan estimasi apakah tambahan pajak                           income tax issues based on estimates of whether
     penghasilan badan akan terutang.                                     additional corporate income tax will be due.

                                                           102
Page 107
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                                   3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                          KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                      UNCERTAINTY (Continued)

     Estimasi dan Asumsi (Lanjutan)                                           Estimates and Assumptions (Continued)

     Aset Pajak Tangguhan                                                     Deferred Tax Assets

     Aset pajak tangguhan diakui untuk semua perbedaan                        Deferred tax assets are recognized for all
     temporer antara nilai tercatat aset dan liabilitas pada                  temporary differences between the financial
     laporan keuangan dengan dasar pengenaan pajak                            statements’ carrying amounts of existing assets and
     jika besar kemungkinan bahwa jumlah laba fiskal                          liabilities and their respective taxes bases to the
     akan memadai untuk pemanfaatan perbedaan                                 extent that it is probable that taxable profit will be
     temporer yang diakui. Estimasi manajemen yang                            available against which the temporary differences
     signifikan diperlukan untuk menentukan jumlah aset                       can be utilized. Significant management estimates
     pajak tangguhan yang diakui berdasarkan                                  are required to determine the amount of deferred
     kemungkinan waktu terealisasinya dan jumlah laba                         tax assets that can be recognized, based upon the
     kena pajak pada masa mendatang serta strategi                            likely timing and the level of future taxable profits
     perencanaan pajak masa depan. Grup memiliki                              together with future tax planning strategies. The
     perbedaan temporer sebesar Rp 241.266.773, pada                          Group has temporary differences amounting to
     tanggal 31 Desember 2023 dan yang pajak                                  Rp 241,266,773 as at December 31, 2023
     tangguhannya tidak diakui.                                               respectively for which deferred income tax is not
                                                                              recognized..

     Estimasi IBR untuk Sewa                                                  Estimating the IBR for Leases

     Grup tidak dapat langsung menentukan tingkat                             The Group cannot readily determine the interest
     bunga implisit dalam sewa, oleh karena itu, Grup                         rate implicit in the lease, therefore, it uses its
     menggunakan suku bunga pinjaman inkremental                              incremental borrowing rate (IBR) to measure lease
     (“IBR”) untuk mengukur kewajiban sewa. IBR                               liabilities. The IBR is the rate of interest that the
     adalah tingkat bunga yang harus dibayar Grup untuk                       Group would have to pay to borrow over a similar
     meminjam dalam jangka waktu yang sama, dan                               term, and with a similar security, the funds
     dengan jaminan serupa, dana yang diperlukan untuk                        necessary to obtain an asset of a similar value to
     memperoleh aset dengan nilai yang sama dengan                            the right-of-use asset in a similar economic
     aset hak guna dalam lingkungan ekonomi yang                              environment. IBR therefore reflects what the Group
     sama. Oleh karena itu, IBR mencerminkan apa yang                         ‘would have to pay’, which requires estimation
     'harus dibayar' oleh Grup, yang memerlukan                               when no observable rates are available or when
     perkiraan ketika tidak ada tarif yang tersedia sebagai                   they need to be adjusted to reflect the terms and
     acuan atau ketika perlu disesuaikan untuk                                conditions of the lease. The Group estimates the
     mencerminkan syarat dan ketentuan sewa. Grup                             IBR using observable inputs (such as market
     memperkirakan IBR menggunakan input yang dapat                           interest rates).
     diamati (seperti suku bunga pasar).

     Estimasi Klaim                                                           Estimated Claims

     Grup wajib membentuk cadangan untuk                                      The Group is required to establish reserves for
     pembayaran klaim yang timbul. Cadangan ini                               payment of claim that arise. These reserves
     merupakan biaya yang diharapkan untuk                                    represent the expected ultimate cost to settle claims
     menyelesaikan klaim yang telah terjadi, tetapi                           occurring prior to, but still outstanding as at the
     masih dalam proses pada tanggal laporan posisi                           consolidated statement of financial position date.
     keuangan konsolidasian.



                                                               103
Page 108
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


3.   PERTIMBANGAN KRITIS AKUNTANSI                                3.       CRITICAL ACCOUNTING JUDGMENTS AND
     DAN SUMBER UTAMA KETIDAKPASTIAN                                       KEY    SOURCES      OF  ESTIMATION
     ESTIMASI (Lanjutan)                                                   UNCERTAINTY (Continued)
     Estimasi dan Asumsi (Lanjutan)                                        Estimates and Assumptions (Continued)
     Estimasi Klaim                                                        Estimated Claims
     Grup menetapkan cadangan berdasarkan jenis                            The Group establishes its reserves by product line,
     produk, jenis dan periode penjaminan dan tahun                        type and extent of coverage and year of
     kejadian. Ada dua kategori cadangan: cadangan                         occurrence. There are two categories of reserve:
     untuk klaim yang sudah dilaporkan dan cadangan                        reserves for reported losses and reserves for
     untuk klaim yang “sudah terjadi tetapi belum                          “Incurred But Not Reported” (IBNR) losses.
     dilaporkan” (IBNR).
     Cadangan Grup untuk klaim yang sudah dilaporkan                       The Group’s reserves for reported losses are based
     adalah berdasarkan pada estimasi pembayaran di                        on estimates of future payments to settle reported
     masa mendatang untuk menyelesaikan klaim yang                         claims.
     sudah dilaporkan dan klaim.
     Grup membuat estimasi tersebut berdasarkan pada                       The Group bases such estimates on the facts
     fakta fakta yang tersedia pada saat cadangan                          available at the time the reserves are established.
     ditetapkan.
     Grup membentuk cadangan IBNR dengan                                   The Group’s establishes IBNR reserves using
     menggunakan        data   historis   IBNR    yang                     historical data of IBNR which is projected to
     diproyeksikan terhadap premi bruto tahun berjalan,                    current year gross premium, to recognize the
     untuk mengakui perkiraan biaya dari klaim yang                        estimated cost of losses for claim which have
     sudah terjadi tetapi belum dilaporkan.                                already incurred but not yet reported.
     Nilai tercatat estimasi klaim Grup pada tanggal                       The carrying amount of the Group’s estimated
     laporan      posisi    keuangan    konsolidasian                      claims at the consolidated statement of financial
     diungkapkan di dalam Catatan 14 atas laporan                          position date is disclosed in Note 14 to the
     keuangan konsolidasian.                                               consolidated financial statements.
     Pengujian Kecukupan Liabilitas                                        Liability Adequacy Test
     Pada tanggal pelaporan, keseluruhan jumlah aset                       As at the reporting date, all insurance assets and
     dan liabilitas asuransi yang dicatat telah dilakukan                  liabilities have been estimated and the management
     pengujian kecukupan liabilitas dan Manajemen                          believes that the amounts recorded are adequate.
     meyakini bahwa nilai tersebut adalah memadai.
     Provisi dan kontigensi                                                Provisions and Contingencies
     Perusahaan, dalam kegiatan usaha normal,                              The Company, In the ordinary course of business,
     menjalankan sesuai ketentuan untuk kewajiban                          sets up appropriate provision fir it’s present legal
     hukum maupun konstruktif, jika ada, sesuai dengan                     or constructive obligation if any.in accordance
     kebijakan pada kententuan dan kontijensi. Dalam                       with it’s policies on provision and contingencies in
     pengakuan dan pengukuran ketentuan, Majanemen                         recognizing       and    measeuring      provisions,
     mengambil risiko dan ketidak pastina.                                 Management takes risk and uncertainties in to
                                                                           account.
     Perusahaan tidak mengakui provisi pada tanggal                        The Company has not recognized any provision as
     30 September 2024 dan 31 Desember 2023.                               at September 30, 2024 and December 31, 2023.


                                                            104
Page 109
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


4.   AKUISISI DAN DEKONSOLIDASI ENTITAS                        4.       ACQUISITION AND DECONSOLIDATION OF
     ANAK                                                               SUBSIDIARIES

     Dekonsolidasi                                                      Deconsolidation

     Batavia Prosperity Pte. Ltd. (BPROS)                               Batavia Prosperity Pte. Ltd. (BPROS)

     Pada tanggal 24 Februari 2023, Entitas Induk                       On February 24, 2023, the Parent Entity sold its
     melakukan penjualan investasi pada BPROS,                          investment in BPROS, a Subsidiary, from
     Entitas Anak dari 37.756.664 lembar saham                          37,756,664 shares to 100 shares, therefore the
     menjadi 100 lembar saham, sehingga kepemilikan                     Parent Entity ownership in BPROS, Subsidiary,
     Entitas Induk atas BPROS, Entitas Anak, menjadi                    remains 100%.
     tetap 100%.

     Pada tanggal 28 Februari 2023, Entitas Induk                       On February 28, 2023, the Parent Entity reduced
     melakukan pengurangan investasi pada BPROS,                        its investment in BPROS, a Subsidiary, from 100
     Entitas Anak dari 100 lembar saham menjadi nihil,                  shares to nil, therefore the Parent Entity’s
     sehingga kepemilikan Entitas induk atas BPROS,                     ownership in BPROS, Subsidiary, is deconsolidated
     Entitas Anak, di dekonsolidasi.                                    imedietly.

     Akuisisi                                                           Acquisition
     Batavia Prosperindo Pte. Ltd. (BPD)                                Batavia Prosperindo Pte. Ltd. (BPD)

     Pada tanggal 6 Januari 2023, Entitas Induk                         On January 6, 2023, the Parent Entity invested 100
     melakukan investasi BPD, Entitas Anak, sejumlah                    shares of BPD, Subsidiary, with aggregate amount
     100 saham dengan nilai total Rp 1.163.841 dengan                   of Rp 1.163.841 or equivalent to 100% ownership.
     kepemilikan sebesar 100%.

     Pada tanggal 2 Mei 2023, Entitas Induk melakukan                   On May 2, 2023, the Parent Entity invested 100
     penambahan investasi BPD, Entitas Anak,                            shares of BPD, Subsidiary, with aggregate amount
     sejumlah USD 26.241.465 atau setara dengan Rp                      of USD 26.241.465 or equivalent to Rp
     384.726.118.365 dengan kepemilikan sebesar                         384,726,118,365 dengan kepemilikan sebesar
     100%.                                                              100%.

     Entitas Induk memiliki secara langsung 100%                        The Parent Entity has direct ownership of 100% in
     saham BPD, Entitas Anak, yang bergerak sebagai                     BPD, Subsidiary, which is engaged as consultant
     jasa konsultasi manajemen. BPD, Entitas Anak,                      management services. BPD, Subsidiary, is
     berdomisili di Singapura dan mulai beroperasi                      domiciled in Singapore and started its commercial
     komersial pada tahun 2023.                                         operations in 2023.




                                                         105
Page 110
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


4.   AKUISISI DAN DEKONSOLIDASI ENTITAS                        4.       ACQUISITION AND DECONSOLIDATION OF
     ANAK (Lanjutan)                                                    SUBSIDIARIES (Continued)

     Akuisisi (Lanjutan)                                                Acquisition (Continued)

     Strait Pristine Resources Pte Ltd (SPRL)                           Strait Pristine Resources Pte Ltd (SPRL)

     Entitas Induk memiliki kepemilikan efektif 50%                     The Parent Entity has effective ownership of 50% in
     saham SPRL, Entitas Anak berdomisili di                            SPRL, Subsidiary Entity, which is domiciled in
     Singapura dan bergerak dibidang jasa konsultasi                    Singapore and engaged consultant management
     manajemen.                                                         service.

     Pada tanggal 2 Oktober 2023 dan 31 Oktober 2023,                   On October 2, 2023 and October 31, 2023 the
     Entitas Anak (BPD) melakukan investasi SPRL,                       Subsidiary Entity (BPD) invested in SPRL, each
     masing-masing sebesar SGD 5.000 dan SGD                            amount amount of SGD 5,000 and SGD 6,395,000,
     6.395.000,-, sehingga total investasi sebesar SGD                  thus the total investment in Arto is SGD 6,400,000
     6.400.000 dengan kepemilikan sebesar 50%.                          or equivalent to 50% ownership.

     Pada tanggal 31 Desember 2023, goodwill muncul                     In December 31, 2023, goodwill arising from
     melalui akuisisi SGS dengan nominal Rp                             acquisition of SGS is amounting to Rp
     4.546.151.766. yang dilaporkan sebagai aset lain-                  4,546,151,766 which is reported under other assets
     lain pada laporan keuangan konsolidasian.                          in the consolidated financial statements.

     Sweet Green Singapore Pte Ltd (SGS)                                Sweet Green Singapore Pte Ltd (SGS)

     Entitas Induk memiliki kepemilikan efektif 41,95%                  The Parent Entity has effective ownership of
     saham SGS, Entitas Anak, berdomisili di Singapura                  41.95% in SGS, Associate Entity, which is
     dan bergerak dalam bidang penanaman sayuran dan                    domiciled in Singapore and engaged in planting of
     buah-buahan (hidroponik).                                          vegetables and fruits (hydroponics).

     Pada tanggal 2 November 2023, Entitas Anak                         On November 2, 2023 the Subsidiary Entity (SPRL)
     (SPRL) melakukan investasi SGS, dengan total                       invested in the total investment is SGD 12,164,503
     investasi sebesar SGD 12.164.503 atau setara                       or equivalent toRp 137,943,132,796.90 with
     dengan     Rp     137.943.132.796.90 dengan                        83,89% ownership.
     kepemilikan sebesar 83,89%.




                                                         106
Page 111
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


4.   AKUISISI DAN DEKONSOLIDASI ENTITAS                          4.       ACQUISITION AND DECONSOLIDATION OF
     ANAK (Lanjutan)                                                      SUBSIDIARIES (Continued)

     Akuisisi (Lanjutan)                                                  Acquisition (Continued)

     PT Sweet Green Indonesia (SGI)                                       PT Sweet Green Indonesia (SGI)

     Entitas Induk memiliki kepemilikan efektif 41,94%                    The Parent Entity has effective ownership of
     saham SG1, Entitas Anak, berdomisili di Jakarta                      41.94% in SGI, Associate Entity, which is domiciled
     dan bergerak di bidang greenhouse agrikultur pada                    in Jakarta and engaged in greenhouse agriculture
     perkebunan melon.                                                    of melon farms.

     Pada tanggal 31 Desember 2023, Entitas Anak                          On December 31, 2023 the Subsidiary Entity (SGS)
     (SGS) melakukan investasi SGI, dengan total                          invested in the total investment is SGD
     investasi sebesar SGD 13.653.774,88 dengan                           13,653,774.88 or equivalent to 99,99% ownership.
     kepemilikan sebesar 99,99%.

     PT Arto Investa Pramathana (ARTO)                                    PT Arto Investa Pramathana (ARTO)

     Entitas Induk memiliki secara langsung 23% saham                     The Parent Entity has direct ownership of 23% in
     ARTO, Entitas asosiasi, yang bergerak sebagai                        ARTO, Associate Entity, which is engaged as
     penyedia akomodasi jangka pendek. ARTO,                              accomodation services. ARTO, Associate Entity, is
     Entitas Anak, berdomisili di Jakarta.                                domiciled in Jakarta.

     Pada tanggal 4 April 2023, 4 Juli 2023,                              On April 4, 2023, July 4 , 2023. October 6, 2023,
     6 Oktober 2023 dan 15 Desember 2023, Entitas                         and December 15, 2023 the Parent Entity invested in
     Induk melakukan investasi ARTO, Entitas Asosiasi,                    ARTO, each amount amount of Rp 2,300,000,000
     masing-masing     sebesar    Rp      2.300.000.000,                  Rp 4,600,000,000, and Rp 5,920,000,000, on
     Rp 4.600.000.000, Rp 4.600.000.000, dan                              February 26, 2024 and July 30, 2024 Parent entity
     Rp 5.920.000.000,-, tanggal 26 Februari 2024 dan                     increase investment with the amount of Rp
     30 Juli 2024 menambah investasi masing-masing                        1.150.000.000 and Rp 6,900,000,000 thus the total
     sebesar Rp 1.150.00.000 dan Rp 6.900.000.000                         investment in Arto is Rp 24,840,000,000 or
     sehingga       total       investasi        sebesar                  equivalent to 23% ownership.
     Rp 24.840.000.000 dengan kepemilikan sebesar
     23%.

     Investasi pada PT ARTO (Asosiasi) dilaporkan di                      This Investment with PT ARTO (Associate) is
     investasi lainnya pada laporan keuangan                              reported under other investment in the consolidated
     konsolidasian                                                        financial statements.

     Sampai dengan 30 September 2024, nilai tercatat                      As of September 30, 2024 the carrying amount
     yang di investasikan pada entitas asosiasi setelah                   invested in associate after equity method is
     metode ekuitas sebesar Rp 20.174.223.193                             amounting to Rp 20,174,223,193.




                                                           107
Page 112
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


5.    KAS DAN SETARA KAS                                        5.       CASH AND CASH EQUIVALENTS

      Terdiri atas:                                                      This account consists of:

                                       30 September/        31 Desember/
                                     September 30, 2024     December 31,
                                       (Tidak Diaudit/      2023 (Diaudit/
                                         Unaudited)           Audited)
     Kas                                                                                                            Cash on Hand
      Rupiah                                306.987.007                327.521.115                                        Rupiah
     Total Kas                              306.987.007                327.521.115                            Total Cash on Hand

     Kas di bank                                                                                                 Cash in Banks
     Rupiah                                                                                                             Rupiah
      PT Bank Woori Saudara                                                                            PT Bank Woori Saudara
       Indonesia 1906 Tbk                35.053.689.621          28.596.901.170                           Indonesia 1906 Tbk
      PT Bank Central Asia Tbk            9.656.812.395          18.659.164.388                      PT Bank Central Asia Tbk
      PT Bank Negara Indonesia                                                                      PT Bank Negara Indonesia
       (Persero) Tbk                      5.238.813.713                196.705.988                              (Persero) Tbk
      PT OCBC NISP                          378.333.075                 46.802.976                             PT OCBC NISP
      PT Bank Victoria                                                                                       PT Bank Victoria
       Tbk
       International Tbk                    141.147.469                624.396.049                          International Tbk
      PT Bank Mandiri Persero                                                                         PT Bank Mandiri Persero
       Tbk                                  108.727.657                369.769.873                                        Tbk
      PT Bank CIMB Niaga Tbk                 94.534.872                 69.413.370                   PT Bank CIMB Niaga Tbk
      PT Bank Sinarmas Tbk                   90.207.714              1.362.348.337                      PT Bank Sinarmas Tbk
      PT Bank Bukopin Tbk                    41.923.889                 41.923.889                       PT Bank Bukopin Tbk
      PT Bank Mestika Jakarta                27.680.085                  4.970.027                    PT Bank Mestika Jakarta
      PT Bank Rakyat Indonesia               10.005.864                          -                   PT Bank Rakyat Indonesia
      PT Bank Victoria Syariah                6.866.567                 23.762.277                    PT Bank Victoria Syariah
      PT Bank Capital Indonesia                                                                              PT Bank Capital
       Tbk                                    3.281.960                  4.701.020                             Indonesia Tbk
      PT Bank Permata Tbk                     2.519.364                  3.204.364                       PT Bank Permata Tbk
      PT Bank DKI                             1.427.402                  1.562.402                               PT Bank DKI
      PT Bank BPD Jabar dan Banten              950.000                          -              PT Bank BPD Jabar dan Banten
      PT Bank Deutsche Bank                           -                 10.207.861                     PT Bank Deutsche Bank

     Dolar Amerika Serikat                                                                                  United States Dollar
      PT Bank Central Asia Tbk           24.931.890.014                          -                    PT Bank Central Asia Tbk
      PT Bank OCBC NISP                   4.640.746.001                 77.126.248                        PT Bank OCBC NISP
      PT Bank Sinarmas Tbk                4.290.936.962                          -                       PT Bank Sinarmas Tbk
      JP Morgan Chase & Co.               1.456.805.581              1.967.098.249                     JP Morgan Chase & Co.
      Maybank Singapore Limited             797.715.994                          -                   Maybank Singapore Limited
      Deutsche Bank AG                       51.898.118                 40.336.118                          Deutsche Bank AG
      PT Bank Victoria                                                                                        PT Bank Victoria
       International Tbk                     13.768.767              9.089.203.846                           International Tbk
      PT Bank Maybank                                                                                        PT Bank Maybank
       Indonesia Tbk                                  -          15.141.492.795                                 Indonesia Tbk
      PT Bank CIMB Niaga Tbk                          -           1.098.125.059                       PT Bank CIMB Niaga Tbk

     Dolar Singapura                                                                                           Singapore Dollar
      PT Bank CIMB Niaga Tbk             12.232.827.379              4.645.383.014                    PT Bank CIMB Niaga Tbk
      Maybank Singapore Limited           5.324.574.070                          -                   Maybank Singapore Limited
      PT Bank Victoria                                                                                        PT Bank Victoria
       International Tbk                      9.971.996              1.378.115.020                           International Tbk
      JP Morgan Chase & Co.                                            129.756.472                     JP Morgan Chase & Co.
      Deutsche Bank AG                        9.095.887                          -                          Deutsche Bank AG
      PT Bank Maybank                                                                                        PT Bank Maybank
       Indonesia Tbk                                  -           7.464.175.046                                 Indonesia Tbk
     Total kas di bank                  104.924.139.424          91.374.166.974                            Total Cash in Banks

                                                          108
Page 113
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


5.     KAS DAN SETARA KAS (Lanjutan)                               5.         CASH AND CASH EQUIVALENTS (Continued)

                                        30 September/          31 Desember/
                                      September 30, 2024       December 31,
                                        (Tidak Diaudit/        2023 (Diaudit/
                                          Unaudited)             Audited)
     Deposito berjangka                                                                                               Time deposits
     Rupiah                                                                                                                 Rupiah
      PT Bank Capital Indonesia                                                                                  PT Bank Capital
       Tbk                                 57.000.000.000           14.000.000.000                                 Indonesia Tbk
      PT Bank Negara Indonesia                                                                           PT Bank Negara Indonesia
       (Persero) Tbk                       30.000.000.000                             -                             (Persero) Tbk
      PT Bank Victoria                                                                                           PT Bank Victoria
       International Tbk                   21.050.000.000           27.559.000.000                              International Tbk
      PT Bank Central Asia                  7.569.000.000                                                    PT Bank Central Asia
      PT Bank Mandiri (Persero)                                                                                  PT Bank Mandiri
       Tbk                                              -           55.000.000.000                                  (Persero) Tbk
      PT Bank Woori Saudara                                                                                PT Bank Woori Saudara
       Indonesia 1906 Tbk                               -          110.000.000.000                            Indonesia 1906 Tbk
      PT Bank Mega Tbk                                  -           20.000.000.000                              PT Bank Mega Tbk

     Dolar Amerika Serikat                                                                                       United States Dollar
      Deutsche Bank AG                     15.971.534.508           25.624.112.770                               Deutsche Bank AG
      PT Bank Victoria                                                                                            PT Bank Victoria
       International Tbk                   3.481.456.000                         -                                 International Tbk
      JP Morgan Chase & Co.                1.435.703.058            17.871.198.408                          JP Morgan Chase & Co.
     Total deposito berjangka            136.507.693.566           270.054.311.178                                Total time deposits
     Total kas dan setara kas            241.431.832.990 -         361.428.478.152                   Total cash and cash equivalents

       Deposito berjangka merupakan penempatan dana                           Time deposits represent short-term time deposits
       untuk jangka waktu 1 (satu) sampai 3 (tiga)                            with maturities of 1 (one) to 3 (three) months at
       bulan, dengan bunga tahunan untuk tahun-tahun                          the time of placement, with annual interest rates
       yang berakhir pada tanggal 30 September 2024                           for the years ended September 30, 2024 and
       dan 31 Desember 2023 masing-masing berkisar                            December 31, 2023 each amount 2,40% - 7,00%
       2,40% - 7,00% .                                                    .

6.     PORTOFOLIO EFEK                                             6.         MARKETABLE SECURITIES

                                        30 September/          31 Desember/
                                      September 30, 2024       December 31,
                                        (Tidak Diaudit/        2023 (Diaudit/
                                          Unaudited)             Audited)
     Aset keuangan pada nilai wajar                                                                      Financial assets at fair value
       melalui penghasilan                                                                             through other comprehensive
       komprehensif lain                  66.594.702.080           134.154.634.128                                            income
     Aset keuangan pada nilai wajar                                                                      Financial assets at fair value
       melalui laba rugi                 244.465.341.507           251.612.549.551                             through profit or loss
     Aset keuangan pada biaya                                                                                      Financial assets at
       perolehan diamortisasi            587.211.789.754           534.397.293.539                                    amortized cost
     Total                               898.271.833.341           920.164.477.218                                                Total




                                                             109
Page 114
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


6.   PORTOFOLIO EFEK (Lanjutan)                                  6.       MARKETABLE SECURITIES (Continued)
                                        30 September/        31 Desember/
                                      September 30, 2024     December 31,
                                        (Tidak Diaudit/      2023 (Diaudit/
                                          Unaudited)           Audited)
     Aset keuangan pada nilai wajar                                                                   Financial assets at fair value
       melalui laba rugi                                                                                    through profit or loss
       Pihak berelasi                                                                                              Related parties
       Investasi in DPLK                   3.033.481.122                       -                             Investment in DPLK
       Reksa dana                        241.431.860.385         251.612.549.551                                     Mutual
                                                                                                                      Mutualfunds
                                                                                                                               funds
     Aset keuangan pada nilai wajar                                                                   Financial assets at fair value
       melalui penghasilan                                                                          through other comprehensive
       komprehensif lain                                                                                                   income
       Pihak ketiga                                                                                                   Third parties
       Efek ekuitas                                                                                               Equity securities
       PT Woori Finance Indonesia                                                                    PT Woori Finance Indonesia
        Tbk (dahulu PT Batavia                                                                          Tbk (formerly PT Batavia
        Prosperindo Finance Tbk)          85.740.678.928         134.154.634.128                         Properindo Finance Tbk)
     Aset keuangan pada biaya                                                                                     Financial assets
       perolehan diamortisasi                                                                                     at amortized cost
       Efek hutang                                                                                                    Debt security
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0072             42.316.183.834          42.469.603.774                          Indonesia Seri FR0072
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0078             37.105.782.865          26.877.494.402                          Indonesia Seri FR0078
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0075             20.365.259.258          20.385.501.956                          Indonesia Seri FR0075
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0074             10.192.085.064          10.210.472.830                          Indonesia Seri FR0074
       PT Pertamina (Persero) -                                                                          PT Pertamina (Persero) -
        USY7138AAD29                       7.220.130.933              7.338.037.091                              USY7138AAD29
       Pemerintah Indonesia,                                                                                Pemerintah Indonesia,
        2025 - USY20721BG36                            -              6.926.146.989                       2025 - USY20721BG36
       Obligasi Subordinasi                                                                                  Obligasi Subordinasi
        Berkelanjutan II Bank Panin                                                                  Berkelanjutan II Bank Panin
        Tahap II Tahun 2017                            -              5.008.582.075                                   Tahun 2017
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0068             65.091.077.256          65.510.950.670                          Indonesia Seri FR0068
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0058             10.692.184.359          10.761.661.304                          Indonesia Seri FR0058
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0096             19.975.160.369          19.972.948.601                          Indonesia Seri FR0096
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0082             20.143.849.371          20.161.903.139                          Indonesia Seri FR0082
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0054             34.170.530.537          34.624.378.617                          Indonesia Seri FR0054
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0059             20.065.171.433          10.061.967.397                          Indonesia Seri FR0059
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0081             14.999.098.615              9.990.999.550                       Indonesia Seri FR0081
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia PBS IJAROH 017           2.985.219.807              2.975.030.047                  Indonesia PBS IJAROH 017
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0070                          -          15.058.462.057                          Indonesia Seri FR0070
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0047             16.388.372.764                            -                     Indonesia Seri FR0047
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0056             41.385.010.102                            -                     Indonesia Seri FR0056
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0040             10.384.472.526                            -                     Indonesia Seri FR0040
       Obligasi Negara Republik                                                                          Obligasi Negara Republik
        Indonesia Seri FR0071             10.765.979.951                       -                          Indonesia Seri FR0071
       Eurobonds Indonesia, 2025           6.808.758.471                       -                      Eurobonds Indonesia, 2025
      JPMORGAN                                                    30.393.430.216                                     JPMORGAN
       CHASE & CO FRN                     22.752.338.310                                                      CHASE & CO FRN
      HSBC Holding PLC FRN                 7.491.084.714          14.861.578.976                        HSBC Holding PLC FRN
      Asia USD Global Credit Max          39.514.993.884          37.690.809.640                    Asia USD Global Credit Max
      Global Bond JPM USD                126.399.045.330         143.117.334.208                          Global Bond JPM USD
     Total efek hutang                   587.211.789.754         534.397.293.539                                Total debt security
     Total pihak ketiga                  672.952.468.682         668.551.927.667                                 Total third parties
     Total                               917.417.810.189         920.164.477.218                                              Total


                                                           110
Page 115
                                                                                  The original consolidated financial statements included herein are in
                                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                            (Expressed in Rupiah, unless otherwise stated)


6.      PORTOFOLIO EFEK (Lanjutan)                                           6.       MARKETABLE SECURITIES (Continued)

        Rincian portofolio efek yang diatur pada biaya                                Details of marketable securities at amortized cost
        perolehan diamortisasi adalah sebagai berikut:                                are as follows:

                                             30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                                                                              Pada Biaya
                                                                                  Suku Bunga/                  Perolehan
                             Jatuh Tempo/          Peringkat/                       Interest                 Diamortisasi/
                             Maturity Date          Rating                           Rate                  At Amortized Cost
Pihak ketiga                                                                                                                                 Third parties
Obligasi Korporasi                                                                                                                        Corporate Bonds
Dolar Amerika Serikat                                                                                                                 United States Dollar
PT Pertamina (Persero) -                                                                                                          PT Pertamina (Persero) -
 USY7138AAD29                 03-05-2042              BBB                            6,00%                     7.220.130.933             USY7138AAD29
Obligasi Pemerintah                                                                                                                     Government Bonds
Rupiah                                                                                                                                              Rupiah
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0072       15-05-2036                -                            8,25%                    42.316.183.834        Indonesia Seri FR0072
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0078       15-05-2029                -                            8,25%                    37.105.782.865        Indonesia Seri FR0078
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
 Indonesia Seri FR0075        15-05-2038                -                            7,50%                    20.365.259.258        Indonesia Seri FR0075
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0074       15-08-2032                -                            7,50%                    10.192.085.064        Indonesia Seri FR0074
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0068       15-Mar-34                 -                            8,37%                    65.091.077.256        Indonesia Seri FR0068
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0058        15-Jun-32                -                            8,25%                    10.692.184.359        Indonesia Seri FR0058
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0096        15-Feb-33                -                            7,00%                    19.975.160.369        Indonesia Seri FR0096
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0082        15-Sep-30                -                            7,00%                    20.143.849.371        Indonesia Seri FR0082
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0054        15-Jul-31                -                            9,50%                    34.170.530.537        Indonesia Seri FR0054
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0059       15-May-27                 -                            7,00%                    20.065.171.433        Indonesia Seri FR0059
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0081        15-Jun-25                -                            6,50%                    14.999.098.615        Indonesia Seri FR0081
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia PBS IJAROH 017     15-Oct-25                -                            6,12%                     2.985.219.807   Indonesia PBS IJAROH 017
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0047        15-Feb-28                -                           10,00%                    16.388.372.764        Indonesia Seri FR0047
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0056        15-Sep-26                -                            8,37%                    41.385.010.102        Indonesia Seri FR0056
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0040        15-Sep-25                -                           11,00%                    10.384.472.526        Indonesia Seri FR0040
Obligasi Negara Republik                                                                                                          Obligasi Negara Republik
  Indonesia Seri FR0071       15-Mar-29                 -                            9,00%                    10.765.979.951        Indonesia Seri FR0071
Dolar Amerika Serikat                                                                                                                  United States Dollar
JPMORGAN                                                                                                                                      JPMORGAN
 CHASE & CO FRN               13-Mar-28                 -                           4,32%                     22.752.338.310          CHASE & CO FRN
HSBC Holding PLC FRN          13-Mar-28                 -                           4,04%                      7.491.084.714      HSBC Holding PLC FRN
Asia USD Global Credit Max     28-Jul-27                -                           3,85%                     39.514.993.884          Asia Bond JPM USD
Global Bond JPM USD           30-Jun-26                 -                           3,37%                    126.399.045.330       Global Bond JPM USD
Eurobonds Indonesia, 2025     15-Jan-25                 -                           4,13%                     6.808.758.471     Eurobonds Indonesia, 2025
 Total                                                                              7,06%                    587.211.789.754                          Total



                                                                       111
Page 116
                                                                                 The original consolidated financial statements included herein are in
                                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                          (Expressed in Rupiah, unless otherwise stated)


6.     PORTOFOLIO EFEK (Lanjutan)                                           6.       MARKETABLE SECURITIES (Continued)

                                                31 Desember/ December 31, 2023 (Diaudit/ Audited)
                                                                                                           Pada Biaya
                                                                             Suku Bunga/                    Perolehan
                                Jatuh Tempo/     Peringkat/                    Interest                   Diamortisasi/
                                Maturity Date     Rating                        Rate                    At Amortized Cost

 Pihak ketiga                                                                                                                               Third parties
 Obligasi Korporasi                                                                                                                     Corporate Bonds
 Rupiah                                                                                                                                           Rupiah
  Obligasi Subordinasi                                                                                                              Obligasi Subordinasi
  Berkelanjutan II Bank                                                                                                     Berkelanjutan II Bank Panin
  Panin Tahap II                                                                                                                   Tahap II Tahun 2017
  Tahun 2017                     17-03-2024         idA+                          10,25%                    5.008.582.075
 Dolar Amerika Serikat                                                                                                              United States Dollar
 PT Pertamina (Persero) -                                                                                                       PT Pertamina (Persero) -
  USY7138AAD29                   03-05-2042         BBB                           6,00%                     7.338.037.091              USY7138AAD29

 Obligasi Pemerintah                                                                                                                 Government Bonds
 Rupiah                                                                                                                                          Rupiah
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0072         15-05-2036           -                           8,25%                    42.469.603.774       Indonesia Seri FR0072
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0078         15-05-2029           -                           8,25%                    26.877.494.402       Indonesia Seri FR0078
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
  Indonesia Seri FR0075          15-05-2038           -                           7,50%                    20.385.501.956       Indonesia Seri FR0075
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0074         15-08-2032           -                           7,50%                    10.210.472.830       Indonesia Seri FR0074
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0068          15-Mar-34           -                           8,37%                    65.510.950.670       Indonesia Seri FR0068
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0058          15-Jun-32           -                           8,25%                    10.761.661.304       Indonesia Seri FR0058
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0096          15-Feb-33           -                           7,00%                    19.972.948.601       Indonesia Seri FR0096
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0082          15-Sep-30           -                           7,00%                    20.161.903.139       Indonesia Seri FR0082
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0054          15-Jul-31           -                           9,50%                    34.624.378.617       Indonesia Seri FR0054
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0059         15-May-27            -                           7,00%                    10.061.967.397       Indonesia Seri FR0059
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0081          15-Jun-25           -                           6,50%                     9.990.999.550       Indonesia Seri FR0081
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia PBS IJAROH 017       15-Oct-25           -                           6,12%                     2.975.030.047   Indonesia PBS IJAROH 017
 Obligasi Negara Republik                                                                                                      Obligasi Negara Republik
   Indonesia Seri FR0070          15-Mar-24           -                           8,37%                    15.058.462.057       Indonesia Seri FR0070
 Dolar Amerika Serikat                                                                                                              United States Dollar
 JPMORGAN                                                                                                                                 JPMORGAN
  CHASE & CO FRN                  13-Mar-28           -                           4,32%                    30.393.430.216          CHASE & CO FRN
 HSBC Holding PLC FRN             13-Mar-28           -                           4,04%                    14.861.578.976      HSBC Holding PLC FRN
 Asia USD Global Credit Max        28-Jul-27          -                           3,85%                    37.690.809.640         Asia Bond JPM USD
 Global Bond JPM USD              30-Jun-26           -                           3,37%                   143.117.334.208       Global Bond JPM USD
 Pemerintah Indonesia, 2025 -                                                                                               Pemerintah Indonesia, 2025 -
   USY 2072BG36                   15-Jan-25           -                           4,13%                     6.926.146.989               USY 2072BG36
  Total                                                                           6,78%                   534.397.293.539                          Total



                                                                      112
Page 117
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


6.   PORTOFOLIO EFEK (Lanjutan)                                 6.       MARKETABLE SECURITIES (Continued)

     Portofolio efek dinyatakan dalam mata uang                          Marketable securities are denominated in the
     sebagai berikut:                                                    following currency:
                                     30 September/          31 Desember/
                                   September 30, 2024       December 31,
                                     (Tidak Diaudit/        2023 (Diaudit/
                                       Unaudited)             Audited)
     Rupiah                            714.451.589.480       694.101.324.178                                              Rupiah
     Dolar Amerika Serikat             202.966.220.709       226.063.153.040                                 United States Dollar
     Total                             917.417.810.189       920.164.477.218                                                Total

     Nilai wajar atas reksa dana ditentukan berdasarkan                  The fair value of mutual fund is determined based
     aset bersih unit pernyertaan diakhir periode                        on net assets of such investment unit at the end of
     pelaporan.                                                          reporting period.

     Nilai wajar atas efek yang memiliki kuotasi                         The fair value of quoted securities is based on
     didasarkan pada harga pasar yang dipublikasikan.                    published market prices.

      Pada tanggal 30 September 2024 dan 31                               As at September 30, 2024 and December 31,
      Desember 2023 , efek ekuitas merupakan saham-                       2023 , equity securities are shares listed in
      saham yang diperdagangkan di Bursa Efek                             Indonesia Stock Exchange (IDX).
      Indonesia (BEI).

     Portofolio efek ini tidak dijadikan jaminan.                        These marketable securities are not pledged as
                                                                         collateral.
     Mutasi aset keuangan pada nilai wajar melalui laba                  Movements of financial assets at fair value through
     rugi di dalam laporan posisi keuangan                               profit or loss of financial assets recognized in the
     konsolidasian adalah sebagai berikut:                               consolidated statement of financial position are as
                                                                         follows:
                                     30 September/          31 Desember/
                                   September 30, 2024       December 31,
                                     (Tidak Diaudit/        2023 (Diaudit/
                                       Unaudited)             Audited)
     Saldo awal                        251.612.598.747       206.981.751.281                                  Beginning balance
     Penambahan                        509.081.313.103       738.702.351.165                                            Additions
     Selisih kurs                     (521.176.925.582)         (363.606.560)                     Difference in foreign exchange
     Penyelesaian                        6.777.865.227      (696.828.373.728)                                         Settlements
     Laba perdagangan atas                                                                        Gain on trading of marketable
      portofolio efek - neto            (1.829.509.987)           3.120.427.393                                    securities - net
     Total                             244.465.341.507          251.612.549.551                                              Total




                                                          113
Page 118
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


6.     PORTOFOLIO EFEK (Lanjutan)                                6.       MARKETABLE SECURITIES (Continued)


       Mutasi aset keuangan pada nilai wajar melalui                      Movements of financial assets at fair value through
       penghasilan komprehensif lain di dalam laporan                     other comprehensive income of financial assets
       posisi keuangan konsolidasian adalah sebagai                       recognized in the consolidated statement of
       berikut:                                                           financial position are as follows:

                                     30 September/           31 Desember/
                                   September 30, 2024        December 31,
                                     (Tidak Diaudit/         2023 (Diaudit/
                                       Unaudited)              Audited)
     Saldo awal                         134.154.634.128       216.544.444.760                                  Beginning balance
     Laba belum terealisasi atas                                                                    Unrealized gain on marketable
      portofolio efek - neto           (67.559.932.048)       (82.389.810.632)                                    securities - net
     Total                               66.594.702.080     134.154.634.128                                                  Total

       Mutasi portofolio efek atas obligasi yang diukur                   Movements in marketable securities of bonds at
       pada biaya perolehan diamortisasi adalah sebagai                   amortized cost are as follows:
       berikut:

                                     30 September/           31 Desember/
                                   September 30, 2024        December 31,
                                     (Tidak Diaudit/         2023 (Diaudit/
                                       Unaudited)               Audited)
      Saldo awal                        539.016.511.501        120.128.523.787                                  Beginning balance
      Pembelian                        143.837.411.756         412.623.545.508                                            Purchase
      Selisih kurs                       (7.295.846.771)         (290.479.522)                      Difference in foreign exchange
      Jatuh tempo                      (92.790.342.533)                    -                                               Matured
      Amortisasi diskonto                                                                                          Amortization of
       obligasi                          4.444.055.801            1.935.703.766                                   discounted bonds
                                        587.211.789.754          534.397.293.539

       Eksposur maksimum terhadap risiko kredit pada                     The maximum exposure to credit risk at the end of
       akhir periode pelaporan adalah senilai jumlah                     the reporting period is the carrying amount of
       tercatat dari setiap kelas portofolio efek                        each class of marketable securities is disclosed in
       sebagaimana yang dijabarkan pada Catatan 43.                      Note 43.




                                                           114
Page 119
                                                                           The original consolidated financial statements included herein are in
                                                                                                                            Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                   PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                   AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                              INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                   FINANCIAL POSITION
Tanggal 30 September 2024                                                                               As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)


7.      PIUTANG SEWA OPERASI - NETO                                   7.       OPERATING LEASE RECEIVABLES - NET

        Akun ini terdiri dari:                                                 This account consists of:
                                           30 September/          31 Desember/
                                         September 30, 2024       December 31,
                                           (Tidak Diaudit/        2023 (Diaudit/
                                             Unaudited)             Audited)
     PT Nusantara Ekspres Kilat               11.017.025.126                           -                    PT Nusantara Ekspres Kilat
     PT Tiki Jalur Nugraha Ekakurir            7.563.046.785               5.024.242.906                PT Tiki Jalur Nugraha Ekakurir
     PT Andiarta Muzizat                       4.764.565.704               2.151.319.501                           PT Andiarta Muzizat
     PT Amartha Manunggal Prima                4.331.343.445               2.905.969.689                 PT Amartha Manunggal Prima
     PT Elektronik Distribusi Otomat           4.273.477.030                           -               PT Elektronik Distribusi Otomat
     PT Serikat Hantar Ekspedisi               3.409.868.080               2.931.510.000                   PT Serikat Hantar Ekspedisi
     PT Idexpress Logistik Indonesia           3.271.381.172               2.737.449.384                PT Idexpress Logistik Indonesia
     PT Global Jet Cargo                       2.493.486.693               2.347.215.972                           PT Global Jet Cargo
     PT Rukun Mitra Sejati                     2.424.206.554                 575.923.000                         PT Rukun Mitra Sejati
     PT Jag Karya Logistik                     2.280.970.485               1.955.568.586                          PT Jag Karya Logistik
     PT Adi Sarana Armada                      2.150.887.625                  29.990.000                         PT Adi Sarana Armada
     PT Pada Semesta Utama                     1.609.197.000                           -                       PT Pada Semesta Utama
     PT Tri Sakti Purwosari Makmur             1.309.599.789               1.398.665.500                PT Tri Sakti Purwosari Makmur
     PT Pinus Merah Abadi                      1.361.769.027                 793.075.485                         PT Pinus Merah Abadi
     PT Luxena Victory Indonesia               1.380.910.246               1.380.910.246                  PT Luxena Victory Indonesia
     PT Anugrah Makmur Logistik                1.127.644.800                 423.140.000                 PT Anugrah Makmur Logistik
     PT Tunas Mendayung Group                    711.182.000                 800.627.000                  PT Tunas Mendayung Group
     PT Sompo Insurance Indonesia                          -                   2.233.000                PT Sompo Insurance Indonesia
     PT Super Unggas Jaya                                  -                 763.453.328                         PT Super Unggas Jaya
     PT Anugerah Covindo Indonesia                         -               3.428.464.800               PT Anugerah Covindo Indonesia
     Lain-lain (masing-masing di bawah                                                                                     Others (each
      bawah Rp 1 miliar)                      26.126.309.048           15.422.077.886                              bellow Rp 1 Billion)
     Total                                    81.606.870.609           45.071.836.282                                              Total
     Dikurangi penyisihan atas ECL           (17.186.388.188)         (13.673.604.520)                          Less allowance for ECL
     Total                                     64.420.482.421           31.398.231.762                                             Total



         Rincian umur piutang adalah sebagai berikut:                          The details of aging schedule of receivables are as
                                                                               follows:

                                            30 September/         31 Desember/
                                         September 30, 2024       December 31,
                                           (Tidak Diaudit/        2023 (Diaudit/
                                             Unaudited)             Audited)
      Belum jatuh tempo                        49.040.811.777        26.827.148.330                                          Not yet due
      Telah jatuh tempo:                                                                                                       Past due:
       Sampai dengan 30 hari                   16.371.568.276           13.035.560.606                                    Up to 30 days
       31 - 60 hari                             4.375.820.366            2.608.389.599                                     31 - 60 days
       61 - 90 hari                             2.077.241.690              258.055.995                                     61 - 90 days
       Lebih dari 90 hari                       9.741.428.500            2.342.681.752                              More than 90 days
     Total                                     81.606.870.609           45.071.836.282                                              Total
     Dikurangi penyisihan atas ECL           (17.186.388.188)         (13.673.604.520)                            Less allowance for ECL
     Total                                     64.420.482.421           31.398.231.762                                              Total



                                                                115
Page 120
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


7.   PIUTANG         SEWA   OPERASI        –    NETO          7.       OPERATING LEASE RECEIVABLES – NET
     (Lanjutan)                                                        (Continued)

     Perubahan penyisihan atas ECL piutang sewa                        Movements of allowance for ECLs on operating
     operasi:                                                          lease receivables are as follows:

                                   30 September/          31 Desember/
                                September 30, 2024        December 31,
                                  (Tidak Diaudit/         2023 (Diaudit/
                                    Unaudited)              Audited)
     Saldo awal                       13.673.604.520          9.179.509.220                                  Beginning balance
     Penyisihan atas ECL               3.600.000.000          4.800.000.000                                  Provision for ECL
     Penghapusan                         (87.216.332)         (305.904.700)                                           Write-off
     Total                            17.186.388.188         13.673.604.520                                               Total


     Manajemen berpendapat bahwa penyisihan atas                       Management believes that the allowance for
     ECL nilai piutang sewa operasi pada tanggal                       ECL on operating lease receivables as at
     30 September 2024 dan 31 Desember 2023 adalah                     September 30, 2024 and December 31, 2023 is
     cukup untuk menutup kerugian yang mungkin                         adequate to cover possible loss for uncollectible
     timbul dari tidak tertagihnya piutang tersebut.                   accounts.

     Piutang sewa operasi pada tanggal laporan posisi                  Operating lease receivables at the consolidated
     keuangan konsolidasian dinyatakan dalam mata                      statement of financial position date are
     uang Rupiah.                                                      denominated in Rupiah.

     Pada tanggal 30 September 2024 dan 31 Desember                    As at September 30, 2024 and December 31, 2023,
     2023, piutang sewa operasi dijadikan sebagai                      operating lease receivables pledged as collateral
     jaminan utang bank (Catatan 12).                                  for bank loan (Note 12).

     Eksposur maksimum terhadap risiko kredit pada                    The maximum exposure to credit risk at the end of
     akhir periode pelaporan adalah senilai jumlah                    the reporting period is the carrying amount of each
     tercatat dari setiap kelas piutang sewa operasi                  class of operating lease receivable is disclosed in
     sebagaimana yang dijabarkan pada Catatan 43.                     Note 43.




                                                        116
Page 121
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


8.    PIUTANG PREMI - NETO                                         8.       PREMIUMS RECEIVABLES - NET

      Akun ini merupakan tagihan premi kepada                               This account represents outstanding premiums
      pemegang polis, broker (pialang), koasuradur dan                      receivable from policyholders, brokers, coinsurer
      agen asuransi dengan rincian sebagai berikut:                         and agents, with details as follows:

      a.    Berdasarkan nasabah                                             a.     By customer

                                       30 September/          31 Desember/
                                     September 30, 2024       December 31,
                                       (Tidak Diaudit/        2023 (Diaudit/
                                         Unaudited)             Audited)
     Pihak ketiga                                                                                                     Third parties
     PT Kalibesar Raya Utama               77.232.083.880          87.432.859.707                        PT Kalibesar Raya Utama
     PT Marsh Indonesia                    38.738.792.155          39.673.098.144                              PT Marsh Indonesia
     PT IBS Insurance Broking Service      36.571.243.048          29.199.829.262               PT IBS Insurance Broking Service
     Aon Indonesia                         23.535.403.587                     -                                      Aon Indonesia
     PT Duta Semesta Raya                  14.572.826.124          10.588.257.341                           PT Duta Semesta Raya
     PT Talisman Insurance Brokers         10.774.343.896          25.379.510.327                   PT Talisman Insurance Brokers
     PT Briliant Insurance Brokers         10.329.087.982           3.553.638.804                    PT Briliant Insurance Brokers
     PT Trimitra Trans Persada              6.977.794.936                     -                         PT Trimitra Trans Persada
     PT Goesaff Manunggal Sejahtera         6.909.299.030           6.126.878.013                 PT Goesaff Manunggal Sejahtera
     PT Sedana Pasifik Servistama           6.833.007.129                     -                     PTPTSedana
                                                                                                         SedanaPasifik
                                                                                                                 PasifikServistama
                                                                                                                         Servistama
     PT Buana Jasa Pratama                  6.277.381.226                     -                            PT Buana Jasa Pratama
     PT National Insurance Broker           4.457.367.425                     -                      PT National Insurance Broker
     PT Premier Investama                   4.423.973.258           5.166.263.091                            PT Premier Investama
     PT Mitra Harmoni Insurance Broker      4.338.809.937           4.778.292.605             PT Mitra Harmoni Insurance Broker
     PT Adonai Pialang Asuransi             4.320.552.862             491.319.195                      PT Adonai Pialang Asuransi
     Isna Safari                            5.461.665.218                     -                                          Isna Safari
     PT Mitra Dhana Atmharaksha             3.670.764.902                     -                      PT Mitra Dhana Atmharaksha
     PT Estika Jasatama                     3.345.139.051           3.911.847.370                              PT Estika Jasatama
     PT Bina Kridatama Nusantara            3.291.468.711                     -                      PT Bina Kridatama Nusantara
     Sony Winarko                           2.584.649.366                     -                                     Sony
                                                                                                                     SonyWinarko
                                                                                                                            Winarko
     PT Woori Finance indonesia Tbk         2.530.554.754           2.361.084.244                 PT Woori Finance indonesia Tbk
     Jasmine Indah Servistama               2.401.475.826                     -                          Jasmine Indah Servistama
     PT Salvus Inti                         2.366.518.135             940.217.462                                    PT Salvus Inti
     PT Aigra Insurance Brokers             2.269.925.298           4.041.569.356                      PT Aigra Insurance Brokers
     PT Pialang Asuransi Neksus             1.887.574.847                     -                        PT Pialang Asuransi Neksus
     Andi Kurniawan                         1.818.069.912                     -                                    Andi Kurniawan
     PT Indomobil Insurance                                                                                PT Indomobil Insurance
      Consultant                            1.628.366.859                     -                                       Consultant
     PT Krida Upaya Tunggal                 1.607.159.578           3.090.589.235                         PT Krida Upaya Tunggal
     PT Willis Indonesia                    1.554.401.896           2.386.205.226                               PT Willis Indonesia
     PT Indosurance Broker Utama            1.456.088.348          28.751.320.227                    PT Indosurance Broker Utama
     PT Adi Antara Asia                     1.114.060.582           1.262.300.501                               PT Adi Antara Asia
     Ruth Priscilla                         1.020.500.731                     -                                      Ruth Priscilla
     PT Jaya Proteksindo Sakti                                      4.486.400.154                        PT Jaya Proteksindo Sakti
     PT Sathya Wahana Indonesia                       -             2.139.054.472                     PT Sathya Wahana Indonesia
     PT Lead Insurance Brokers                        -             2.259.065.885                       PT Lead Insurance Brokers
     PT Sukses Utama Sejahtera                        -             2.251.591.252                       PT Sukses Utama Sejahtera
     PT Home Credit Indonesia                         -             6.483.442.892                        PT Home Credit Indonesia
     PT Pialang Asuransi Nasional                                                                   PT Pialang Asuransi Nasional
      Daperma Indonesia                               -             4.473.600.732                             Daperma Indonesia
     PT Bolltech Device Protection Indonesia          -            23.343.813.106          PT Bolltech Device Protection Indonesia
     PT Marcopolo Shipyard                            -             2.192.793.011                          PT Marcopolo Shipyard
     Lain-lain (dibawah                                                                                                Others (each
      Rp1,7 miliar)                        25.523.634.551       36.089.678.900                              bellow Rp 1,7 Billion)
     Total                               321.823.985.040       342.854.520.514                                                 Total
     Penyisihan atas ECL                   (4.817.172.366)      (4.817.172.366)                                 Allowance for ECL
     Piutang premi - neto                317.006.812.674       338.037.348.148                           Premiums receivable - net



                                                             117
Page 122
                                                                         The original consolidated financial statements included herein are in
                                                                                                                          Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


8.   PIUTANG PREMI – NETO (Lanjutan)                                8.       PREMIUMS RECEIVABLES – NET (Continued)

     b.      Berdasarkan umur                                                b.     By age category

                                        30 September/           31 Desember/
                                      September 30, 2024        December 31,
                                        (Tidak Diaudit/         2023 (Diaudit/
                                          Unaudited)              Audited)
           Belum jatuh tempo              250.820.266.146        249.214.792.434                                        Not yet due
           Telah jatuh tempo:                                                                                             Overdue:
            1 - 30 hari                     39.982.936.035           50.186.125.577                                     1 - 30 days
            31 - 60 hari                    16.430.420.716           35.346.299.752                                    31 - 60 days
            Lebih dari 60 hari              14.590.362.143            8.107.302.751                              More than 60 days
           Total                           321.823.985.040          342.854.520.514                                           Total
           Penyisihan atas ECL              (4.817.172.366)          (4.817.172.366)                             Allowance for ECL
           Neto                            317.006.812.674          338.037.348.148                                             Net


     c.      Berdasarkan mata uang                                           c.     By currency

                                       30 September/           31 Desember/
                                     September 30, 2024        December 31,
                                       (Tidak Diaudit/         2023 (Diaudit/
                                         Unaudited)              Audited)
          Rupiah                         221.586.914.144        190.317.642.206                                             Rupiah
          Dolar Amerika Serikat           97.164.063.277        150.028.838.801                                 United State Dollar
          Dolar Singapura                  1.969.521.712            867.467.539                                  Singapore Dollar
          Euro                               493.549.163          1.469.596.515                                               Euro
          Yuan China                         438.510.634            107.935.830                                        China Yuan
          Yen Jepang                         128.371.931             51.619.198                                          Japan Yen
          Swiss Franc                         27.056.136              4.139.221                                        Swiss Franc
          Ringgit Malaysia                    10.698.256              3.730.374                                   Malaysia Ringgit
          Dolar Australia                      2.677.065                581.284                                    Australia Dollar
          Baht Thailand                        1.299.222                933.841                                      Thailand Baht
          Pound Inggris                        1.323.500                875.566                                    England Pounds
          Krona Swedia                               -                1.160.139                                     Swedish Krona
          Total                          321.823.985.040        342.854.520.514                                               Total
          Penyisihan atas ECL             (4.817.172.366)        (4.817.172.366)                                Allowance for ECL
          Neto                           317.006.812.674        338.037.348.148                                                Net


     c.      Berdasarkan jenis asuransi                                      c.     By type of issurance

                                       30 September/           31 Desember/
                                     September 30, 2024        December 31,
                                       (Tidak Diaudit/         2023 (Diaudit/
                                         Unaudited)              Audited)
          Kebakaran                       122.304.917.196       153.113.017.614                                               Fire
          Rangka kapal                     56.843.394.262        36.266.228.333                                       Marine hull
          Pengangkutan                     27.529.324.756        27.203.345.945                                             Cargo
          Kendaraan bermotor               38.130.459.642        15.359.562.390                                     Motor vehicles
          Kecelakaan                       14.024.263.549         8.005.045.159                                          Accident
          Kesehatan                         9.432.913.531         6.786.594.873                                            Health
          Lain-lain                        53.558.712.104        96.120.726.200                                             Others
          Total                           321.823.985.040       342.854.520.514                                              Total
          Penyisihan atas ECL              (4.817.172.366)       (4.817.172.366)                                Allowance for ECL
          Neto                            317.006.812.674       338.037.348.148                                                Net

                                                              118
Page 123
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


8.   PIUTANG PREMI – NETO (Lanjutan)                          8.       PREMIUMS RECEIVABLES – NET (Continued)

     Mutasi penyisihan atas ECL adalah sebagai                         Movement of allowance for ECLs are as follows:
     berikut:
                                  30 September/           31 Desember/
                                September 30, 2024        December 31,
                                  (Tidak Diaudit/         2023 (Diaudit/
                                    Unaudited)              Audited)
     Saldo awal                        4.817.172.366          2.783.712.024                                  Beginning balance
     Penyisihan atas
      ECL tahun berjalan                       -                   2.033.460.342                            Provision for ECL
     Saldo akhir                      4.817.172.366                4.817.172.366                              Ending balance


     Berdasarkan hasil penelaahan terhadap keadaan                     Based on the review of the status of the premiums
     piutang     masing-masing      pelanggan    pada                  receivables as at September 30, 2024 and
     30 September 2024 dan 31 Desember 2023, Grup                      December 31, 2023 , the Group believes that the
     berkeyakinan bahwa penyisihan atas ECL cukup                      allowance for ECL is sufficient to cover any
     untuk menutup kemungkinan kerugian atas tidak                     possible losses from uncollectible premium
     tertagihnya piutang premi di kemudian hari.                       receivables in the future.

     Pada tanggal 30 September 2024 dan 31 Desember                    As at September 30, 2024 and December 31, 2023
     2023, piutang premi diperkenankan masing-masing                   the admitted premiums receivables amounted to
     sebesar       Rp       307.233.622.897      dan                   Rp 307,233,622,897 and Rp 334,747,217,763,
     Rp 334.747.217.763.                                               respectively.

     Eksposur maksimum terhadap risiko kredit pada                     The maximum exposure to credit risk at the end of
     akhir periode pelaporan adalah senilai jumlah                     the reporting period is the carrying amount of each
     tercatat dari setiap kelas piutang premi                          class of premiums receivables is disclosed in
     sebagaimana yang dijabarkan pada Catatan 43.                      Note 43.




                                                        119
Page 124
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


9.   PIUTANG REASURANSI                                          9.       DUE FROM REINSURANCE
     Piutang reasuransi merupakan piutang yang timbul                     Due from reinsurance represents receivables
     dari transaksi reasuransi sehubungan dengan klaim                    arising from reinsurance transactions in relation to
     asuransi, premi asuransi, dan komisi kepada                          the insurance claim, insurance premiums, and
     reasuradur, dengan rincian sebagai berikut:                          commissions to reinsurers, with details as follows:
     a.    Berdasarkan reasuradur                                         a.     By reinsurer

                                      30 September/         31 Desember/
                                    September 30, 2024      December 31,
                                      (Tidak Diaudit/       2023 (Diaudit/
                                        Unaudited)            Audited)
     PT Trinity Reinsurance                                                                              PT Trinity Reinsurance
      Brokers                           107.228.207.525           3.103.891.150                                          Brokers
     PT Simas Reinsurance Broker         56.216.615.621             720.036.202                     PT Simas Reinsurance Broker
     PT Adonai Pialang Reasuransi         7.688.536.712             624.019.357                   PT Adonai Pialang Reasuransi
     PT IBU Reinsurance                                                                                     PT IBU Reinsurance
      Broker Utama                        5.512.590.569           3.530.199.261                                    Broker Utama
     PT IBS Reinsurance Brokers           5.746.013.299           3.145.587.844                      PT IBS Reinsurance Brokers
     PT Reasuransi Indonesia Utama        4.192.415.446                     -                     PT Reasuransi Indonesia Utama
     PT Asuransi Umum Mega                1.618.172.639           1.441.787.732                        PT Asuransi Umum Mega
     PT Igna Asia Reinsurance                                                                          PT Igna Asia Reinsurance
      Brokers & Consultants               1.132.636.915                361.326.155                       Brokers & Consultants
     PT Willis Towers Watson                                                                           PT Willis Towers Watson
      Brokers                             1.119.323.379                     -                                           Brokers
     PT Reasuransi Nasional Indonesia       837.135.733          86.328.749.746                PT Reasuransi Nasional Indonesia
     PT Freed Dinamika Indonesia            791.407.139                     -                     PT Freed Dinamika Indonesia
     PT Marsh Reinsurance                                                                                 PT Marsh Reinsurance
       - Brokers Indonesia                  747.231.819                          -                           - Brokers Indonesia
     PT Tugu Reasuransi Indonesia           476.592.059                          -                 PT Tugu Reasuransi Indonesia
     PT Artha Dana Mandiri                  452.709.665                          -                       PT Artha Dana Mandiri
     PT Asuransi Jiwa Reliance                                                                       PT Asuransi Jiwa Reliance
      Indonesia                                     -                  927.628.809                                    Indonesia
     PT Victoria Insurance               (9.364.690.674)                72.977.870                         PT Victoria Insurance
     Lain-lain (masing-masing                                                                          Lain-lain (masing-masing
       dibawah Rp 400 Juta)               1.582.098.430          713.363.622                              dibawah Rp 400 Juta)
     Jumlah                             185.976.996.276      100.969.567.748                                                Total
     Cadangan kerugian                                                                                              Allowance for
      penurunan nilai                      (877.747.072)        (877.747.072)                                    Impairment loss
     Total                              185.099.249.204      100.091.820.676                                                Total


     b.    Berdasarkan umur                                               b.     By age category

                                      30 September/         31 Desember/
                                    September 30, 2024      December 31,
                                      (Tidak Diaudit/       2023 (Diaudit/
                                        Unaudited)            Audited)
     Belum jatuh tempo                    4.208.087.717       26.576.877.989                                          Not yet due
     Telah jatuh tempo:                                                                                                 Overdue:
      1 - 30 hari                        41.669.379.990          258.936.436                                          1 - 30 days
      31 - 60 hari                       47.054.284.048          944.360.829                                         31 - 60 days
      Lebih dari 60 hari                 93.045.244.521       73.189.392.494                                   More than 60 days
     Jumlah                             185.976.996.276      100.969.567.748                                                Total
     Cadangan kerugian                                                                                            Allowance for
      penurunan nilai                      (877.747.072)        (877.747.072)                                   Impairment loss
     Total                              185.099.249.204      100.091.820.676                                                Total


                                                           120
Page 125
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


9.   PIUTANG REASURANSI (Lanjutan)                               9.       DUE FROM REINSURANCE (Continued)

     c.    Berdasarkan mata uang                                          c.     By currency

                                   30 September/            31 Desember/
                                 September 30, 2024         December 31,
                                   (Tidak Diaudit/          2023 (Diaudit/
                                     Unaudited)               Audited)
     Rupiah                          127.061.002.267          98.115.654.358                                                Rupiah
     Dolar Amerika Serikat            58.546.478.595           2.772.929.415                                   United States Dollar
     Euro                                100.748.671              34.222.581                                                  Euro
     Dolar Singapura                     132.353.778              46.154.650                                     Singapore Dollar
     Dolar Australia                     113.295.709                      -                                        Dolar Australia
     Yen Jepang                              545.052                 565.620                                            Yen Jepang
     Pound Inggris                        22.531.269                      -                                          Pound Inggris
     Yuan China                               40.935                  41.124                                           Yuan China
     Jumlah                          185.976.996.276         100.969.567.748                                                  Total
     Cadangan kerugian                                                                                               Allowance for
      penurunan nilai                      (877.747.072)        (877.747.072)                                    Impairment loss
     Total                              185.099.249.204      100.091.820.676                                                  Total

     d.    Berdasarkan jenis asuransi                                     d.     By type of insurance

                                   30 September/            31 Desember/
                                 September 30, 2024         December 31,
                                   (Tidak Diaudit/          2023 (Diaudit/
                                     Unaudited)               Audited)
     Kebakaran                        118.348.824.516           7.832.861.358                                                Fire
     Rangka kapal                       18.511.181.408          2.055.589.121                                        Marine hull
     Kendaraan bermotor                  1.403.042.693            620.359.352                                      Motor vehicles
     Kesehatan                         (8.433.902.285)         86.328.749.746                                             Health
     Kecelakaan                           137.175.104                       -                                           Accident
     Pengangkutan                       25.650.509.675            366.422.809                                             Cargo
     Lain-lain                          30.360.165.165          3.765.585.362                                             Others
     Jumlah                          185.976.996.276         100.969.567.748                                                Total
     Cadangan kerugian                                                                                             Allowance for
      penurunan nilai                     (877.747.072)        (877.747.072)                                     Impairment loss
     Total                              185.099.249.204      100.091.820.676                                              Total


     Pada tanggal 30 September 2024 dan 31 Desember                       As at September 30, 2024 and December 31,
     2023, Grup tidak membentuk penyisihan kerugian                       2023 , no allowance for ECL has been provided
     penurunan nilai karena manajemen berkeyakinan                        as the Group’s management believes that all of
     bahwa seluruh piutang tersebut dapat sepenuhnya                      the receivables are fully collectible.
     tertagih.

     Pada tanggal 30 September 2024 dan 31 Desember                       As at September 30, 2024 and December 31,
     2023, piutang reasuransi diperkenankan masing-                       2023, the admitted due from reinsurance
     masing sebesar Rp 92.931.751.755 dan Rp                              amounted to Rp 92,931,751,755 and Rp
     27.780.175.254.                                                      27,780,175,254, respectively.



                                                           121
Page 126
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


10.    UANG MUKA DAN BEBAN DIBAYAR DI                            10.   ADVANCES AND PREPAID EXPENSES
       MUKA

                                    30 September/            31 Desember/
                                  September 30, 2024         December 31,
                                    (Tidak Diaudit/          2023 (Diaudit/
                                      Unaudited)               Audited)
      Uang muka:                                                                                                Advances for:
       Pembelian kendaraan            199.870.400.098              7.295.490.000                         Purchases of vehicles
       Pembelian aset                  50.795.593.059                        -                            Purchases of assets
       Investasi                                  -                  103.012.050                                   Investment
       Klaim                                      -               70.675.713.669                                        Claim
       Lain-lain                                  -                  540.292.000                                        Others
      Beban dibayar di muka:                                                                                  Prepaid expenses:
       Underwriting                               -                4.439.770.694                                 Underwriting
       Asuransi                                                                                                     Insurance
        Pihak ketiga                    6.918.200.621              8.762.488.955                                Third parties
       Sewa                               236.111.111                165.530.978                                          Rent
      Lain-lain                         3.822.269.156              2.347.608.724                                         Others
      Total                           261.642.574.045             94.329.907.070                                          Total

       Sewa dibayar di muka merupakan pembayaran di                    Prepaid rental represents prepaid payment of
       muka atas sewa bangunan untuk keperluan                         building rental for Group’s operational purpose.
       operasional Grup.

       Underwriting merupakan biaya survey yang                        Underwriting represents survey fees incurred by
       dikeluarkan oleh Grup sebelum adanya penutupan                  the Group before the customer’s insurance policy
       polis asuransi nasabah.                                         closed.

       Uang muka pembelian kendaraan merupakan                         Advances for purchase of vehicles represent
       pembayaran uang muka untuk pembelian                            advance payments to PT Dipo Internasional
       kendaraan kepada PT Dipo Internasional Pahala                   Pahala Otomotif, PT Plaza Auto Serasi, PT
       Otomotif, PT Plaza Auto Serasi, PT Srikandi                     Srikandi Diamond Motor, PT Armada Auto Tara,
       Diamond Motor, PT Armada Auto Tara, PT                          PT Hyundai Andalan, PT Isuzu Auto Tara and PT
       Hyundai Andalan , PT Isuzu Auto Tara, dan PT                    Tunas Raden Inten as at June 30, 2024 and PT
       Tunas Raden Inten pada tanggal 30 Juni 2024 PT                  Dipo Internasional Pahala Otomotif, PT Plaza
       Dipo Internasional Pahala Otomotif, PT Plaza Auto               Auto Serasi, PT Srikandi Diamond Motor as at
       Serasi, dan PT Srikandi Diamond Motor pada                      December 31, 2023.
       tanggal 31 Desember 2023.

       Uang muka, beban dibayar di muka dan lain-lain                  Other advances, prepaid expenses and others
       merupakan uang muka dan beban dibayar di muka                   represent advances and prepaid expenses of
       atas beban operasional yang belum direalisasikan,               unrealized operational expenses, such as building
       seperti pemeliharaan bangunan, sistem dan lain-                 maintenance, system and others.
       lain.

       Uang muka dan beban dibayar di muka dinyatakan                  Advances and prepaid expenses are denominated
       dalam mata uang Rupiah.                                         in Rupiah.
                                                           122
Page 127
                                                                                                                                                                  The original consolidated financial statements included herein are in
                                                                                                                                                                                                                   Indonesia language.


 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                                                                                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
 DAN ENTITAS ANAKNYA                                                                                                                                                                          AND ITS SUBSIDIARIES
 LAPORAN POSISI KEUANGAN                                                                                                                                                     INTERIM CONSOLIDATED STATEMENT
 KONSOLIDASIAN INTERIM                                                                                                                                                                          FINANCIAL POSITION
 Tanggal 30 September 2024                                                                                                                                                                      As at September 30, 2024
 (Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                                                                          (Expressed in Rupiah, unless otherwise stated)


11.    ASET TETAP - NETO                                                                                             11.    PROPERTY AND EQUIPMENT – NET

       Rincian aset tetap adalah sebagai berikut:                                                                           The details of property and equipment are as follows:
                                                                                  30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                                                                                   Pengukuran Kembali
                                                                                                                                                                   Efek Dekonsolidasi
                                                                                                                      atas Perubahan
                                                                                                                                                                     Entitas Anak/
                               31 Desember                                                                             Pembayaran/                                                        30 September
                                                                                                                                                                        Effect of
                                  2023/            Penambahan/       Pengurangan/           Reklasifikasi/         Remeasurement Due            Revaluasi/                                    2024/
                                                                                                                                                                   Deconsolidation of
                               December 31,          Additions        Deductions           Reclassification         to Change in Lease          Revaluation                               September 30,
                                                                                                                                                                       Subsidiary
                                   2023                                                                                  Payment                                                              2024
      Biaya perolehan                                                                                                                                                                                                    Acquisition cost
      Kepemilikan langsung                                                                                                                                                                                              Direct ownership
         Tanah                   131.184.907.000                 -     (6.822.561.167)                     -                        -                         -                    -        124.362.345.833                        Land
         Bangunan                 40.986.638.693   114.400.599.499                  -                      -                        -                         -                    -        155.387.238.192                  Buildings
         Peralatan kantor         26.526.781.820     2.953.926.418     (5.124.149.108)           941.241.462                        -                         -                    -         25.297.800.592          Office equipment
         Perabotan kantor          7.224.846.128       170.020.887     (3.750.782.751)         4.429.566.370                        -                         -                    -          8.073.650.634      Furniture and fixtures
         Mesin                       127.300.000                 -                  -                      -                        -                         -                    -            127.300.000                 Machinery
         Kendaraan                 2.105.810.000     1.026.739.000                  -                      -                        -                         -                    -          3.132.549.000                    Vehicles
         Kendaraan sewa          430.896.500.000   478.596.484.565    (73.838.400.000)                     -                        -                         -                    -        835.654.584.565     Vehicles held for rental
      Aset hak-guna                                                                                                                                                                -                                  Right-of-use-assets
         Kendaraan sewa          788.541.105.198                 -        (93.825.198)                        -                     -                         -                    -        788.447.280.000     Vehicles held for rental
         Gedung kantor            20.258.267.100     1.117.985.134     (3.916.529.146)                        -            56.654.210                         -                    -         17.516.377.297            Office buildings
      Aset dalam pembangunan                                                                                                                                                                                     Construction in progress
         Bangunan                 81.369.405.001       250.000.000    (22.209.015.545)        (6.862.743.419)                       -                         -                    -          52.547.646.037                   Building
         Renovasi kantor           5.355.830.717     3.053.847.574       (900.185.323)         1.330.315.755                        -                         -                    -           8.839.808.723        Office renovations
      Total                    1.534.577.391.657   601.569.603.077   (116.655.448.238)          (161.619.832)              56.654.210                         -                    -       2.019.386.580.874                      Total

      Akumulasi penyusutan                                                                                                                                                                                     Accumulated depreciation
      Kepemilikan langsung                                                                                                                                                                                             Direct ownership
          Bangunan                 7.019.761.028     4.795.379.550                  -                         -                     -                         -                    -         11.815.140.578                  Buildings
          Peralatan kantor        19.098.234.236     2.858.837.090     (5.097.835.389)                        -                     -                         -                    -         16.859.235.937          Office equipment
          Perabotan kantor         6.562.267.995       835.320.431     (3.741.970.255)                        -                     -                         -                    -          3.655.618.171      Furniture and fixtures
          Mesin                       94.148.982        11.934.378                  -                         -                     -                         -                    -            106.083.360                 Machinery
          Kendaraan                   62.199.574   133.446.444.047     (3.229.566.667)                        -                     -                         -                    -        130.279.076.954                   Vehicles
      Aset hak-guna                                                                                                                                                                                                  Right-of-use-assets
          Gedung kantor            8.336.199.509     2.063.415.582     (3.681.597.033)                        -                     -                         -                    -          6.718.018.058           Office buildings
      Aset dalam pembangunan                                                                                                                                                       -                            Construction in progress
          Renovasi kantor            314.718.382       568.139.764                  -                         -                     -                         -                    -             882.858.146        Office renovations
      Total                       41.487.529.706   144.579.470.841    (15.750.969.344)                        -                     -                         -                    -         170.316.031.203                        Total
      Nilai Tercatat           1.493.089.861.951                                                                                                                                           1.849.070.549.670          Carrying Amount

                                                                                                                  123
Page 128
                                                                                                                                                       The original consolidated financial statements included herein are in
                                                                                                                                                                                                        Indonesia language.


 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                                                                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
 DAN ENTITAS ANAKNYA                                                                                                                                                              AND ITS SUBSIDIARIES
 LAPORAN POSISI KEUANGAN                                                                                                                                         INTERIM CONSOLIDATED STATEMENT
 KONSOLIDASIAN INTERIM                                                                                                                                                              FINANCIAL POSITION
 Tanggal 30 September 2024                                                                                                                                                          As at September 30, 2024
 (Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                                                              (Expressed in Rupiah, unless otherwise stated)


11.   ASET TETAP – NETO (Lanjutan)                                                                               11.    PROPERTY AND EQUIPMENT – NET (Continued)

                                                                                                         2023
                                                                                                                  Pengukuran
                                                                                                                    Kembali
                                                                                                                                                       Efek Dekonsolidasi
                                                                                                                atas Perubahan
                                                                                                                                                         Entitas Anak/
                         31 Desember                                                                             Pembayaran/                                                     31 Desember
                                                                                                                                                            Effect of
                            2022/                                                                               Remeasurement                                                       2023/
                                                                                                                                                       Deconsolidation of
                         December 31,        Penambahan/       Pengurangan/        Reklasifikasi/                     Due           Revaluasi/                                   December 31,
                                                                                                                                                           Subsidiary
                             2022              Additions        Deductions        Reclassification               to Change in       Revaluation                                      2023
                                                                                                                     Lease
Biaya perolehan                                                                                                                                                                                                 Acquisition cost
Kepemilikan langsung                                                                                                                                                                                           Direct ownership
   Tanah                    94.204.200.000    36.606.427.632                 -                   -                            -         374.279.368                    -           131.184.907.000                        Land
   Bangunan                 24.575.847.031        97.000.000                 -      16.313.791.662                            -                   -                    -            40.986.638.693                  Buildings
   Peralatan kantor         24.438.914.903     3.001.183.574    (2.278.484.646)      1.365.167.989                            -                   -                    -            26.526.781.820          Office equipment
   Perabotan kantor          7.224.846.128                 -                 -                   -                            -                   -                    -             7.224.846.128      Furniture and fixtures
   Mesin                       127.300.000                 -                 -                   -                            -                   -                    -               127.300.000                 Machinery
   Kendaraan                 1.296.930.000       966.885.000       (36.500.000)                  -                            -        (121.505.000)                   -             2.105.810.000                    Vehicles
   Kendaraan sewa          269.356.800.000   392.762.415.144   (83.799.747.161)                  -                            -    (147.422.967.983)                   -           430.896.500.000     Vehicles held for rental
Aset hak-guna                            -                                                                                                                                                                   Right-of-use-assets
   Kendaraan sewa          768.873.300.000    21.329.366.135                  -                      -                        -      (1.661.560.937)                   -           788.541.105.198     Vehicles held for rental
   Gedung kantor             9.407.793.254    11.605.855.264                  -                      -             (755.381.418)                                                    20.258.267.100            Office buildings
Aset dalam pembangunan                   -                                                                                                                                                              Construction in progress
   Bangunan                              -    99.021.364.652                 -     (17.651.959.651)                           -                   -                    -            81.369.405.001                    Building
   Renovasi kantor             157.000.000     5.225.830.717                 -         (27.000.000)                           -                   -                    -             5.355.830.717         Office renovations
Total                    1.199.662.931.316   570.616.328.118   (86.114.731.807)                  -                 (755.381.418)   (148.831.754.552)                   -         1.534.577.391.657                       Total

Akumulasi penyusutan                                                                                                                                                                                  Accumulated depreciation
Kepemilikan langsung                                                                                                                                                                                           Direct ownership
    Bangunan                4.861.116.472      2.158.644.556                 -                       -                        -                   -                    -             7.019.761.028                  Buildings
    Peralatan kantor       18.319.874.262      3.051.144.488    (2.272.784.514)                      -                        -                   -                    -            19.098.234.236          Office equipment
    Perabotan kantor        6.542.510.403         19.757.592                 -                       -                        -                   -                    -             6.562.267.995      Furniture and fixtures
    Mesin                      78.236.458         15.912.524                 -                       -                        -                   -                    -                94.148.982                 Machinery
    Kendaraan                  33.492.084        400.102.390        (8.364.587)                      -                        -        (363.030.313)                   -                62.199.574                    Vehicles
    Kendaraan sewa                      -     61.773.506.189    (4.841.926.041)                      -                        -    (139.939.212.440)                   -           (83.007.632.292)            Office vehicles
Aset hak-guna                                                                                                                                                                                                Right-of-use-assets
    Kendaraan sewa                       -    84.949.777.907                  -                      -                        -      (1.942.145.615)                   -            83.007.632.292     Vehicles held for rental
    Gedung kantor            5.740.379.048     2.595.820.461                  -                      -                        -                   -                    -             8.336.199.509            Office buildings
Aset dalam pembangunan                   -                                                                                                                                                             Construction in progress
    Renovasi kantor                      -       314.718.382                 -                       -                        -                   -                    -               314.718.382         Office renovations
Total                       35.575.608.727   155.279.384.489    (7.123.075.142)                      -                        -    (142.244.388.368)                   -            41.487.529.706                         Total
Nilai Tercatat           1.164.087.322.589                                                                                                                                       1.493.089.861.951            Carrying Amount

                                                                                                          124
Page 129
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


11.   ASET TETAP – NETO (Lanjutan)                                   11.   PROPERTY           AND       EQUIPMENT              –    NET
                                                                           (Continued)

      Penilaian atas nilai wajar aset tetap Grup berupa                    The revaluation of the Group’s land and vehicles
      tanah dan kendaraan dilakukan oleh penilai                           was performed by independent appraisers, KJPP
      independen, KJPP Budi, Edy, Saptono & Rekan                          Budi, Edy, Saptono & Rekan for December 31,
      untuk tanggal 31 Desember 2023 dalam laporannya                      2023 as follows:
      tertanggal sebagai berikut:
                                                          2023
          BPAM                                         15 Januari 2024/                                   BPAM
                                                      January 15, 2024
          BPT                                         20 Februari 2024/                                      BPT
                                                     February 20, 2024
          MTWI                                        21 Februari 2024/                                   MTWI
                                                     February 21, 2024
          SGI                                         29 Februari 2024/                                       SGI
                                                     February 29, 2024

      Metode penilaian yang digunakan adalah                               Appraisal method used is the market and income
      pendekatan pasar dan pendekatan pendapatan.                          approach. Total of fair value of land and
      Total nilai wajar tanah dan kendaraan setelah                        vehicles   after   revaluation   amounted     to
      penilaian kembali adalah masing-masing sebesar                       Rp 1,352,666,122,624 as at December 31, 2023.
      Rp 1.352.666.122.624 pada tanggal 31 Desember
      2023.
      Berdasarkan laporan penilaian tersebut, penilaian                    Based on the appraisal report, the valuation was
      dilakukan sesuai Standar Penilaian Indonesia (SPI)                   determined in accordance with the Indonesian
      yang ditentukan berdasarkan transaksi terkini                        Appraisal Standards (SPI), referring to recent
      dalam ketentuan yang wajar dan Peraturan                             arm’s length, transaction and Bapepam-LK’s rule
      Bapepam-LK No. VIII.C.4 tentang pedoman                              No. VIII.C.4 regarding valuation and presentation
      penilaian dan penyajian laporan penilaian aset di                    of asset valuation report in capital market.
      pasar modal. Metode yang digunakan adalah                            Appraisal nmethod used is the market value.
      pendekatan nilai pasar. Elemen-elemen yang                           Elements used in data comparison process to
      digunakan dalam perbandingan data untuk                              determine assets’ fair value are type of right on
      menentukan nilai wajar aset adalah jenis hak yang                    property, market condition, location, physical
      melekat pada properti, kondisi pasar, lokasi,                        characteristics, income producing characteristics,
      karakteristik fisik, karateristik dalam menghasilkan                 and land characteristics.
      pendapatan dan karakteristik tanah.

      Rincian rugi penjualan aset tetap adalah sebagai                     The details of loss on sale of property and
      berikut:                                                             equipment are as follows:
                                           30 September/         31 Desember/
                                        September 30, 2024       December 31,
                                          (Tidak Diaudit/        2023 (Diaudit/
                                            Unaudited)             Audited)
      Penerimaan hasil penjualan aset                                                                       Proceeds from sale of
       tetap                                 71.309.947.832            92.841.776.377                    property and equipment
      Nilai tercatat aset tetap             (62.769.292.016)         (77.481.771.119)                         Carrying amount of
      Total                                    8.540.655.816           15.360.005.258                   property and equipment
       Laba (rugi) penjualan                                                                                  Gain (loss) on sale
        - aset tetap                                                                                             and equipment


                                                               125
Page 130
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


11.   ASET TETAP – NETO (Lanjutan)                                 11.   PROPERTY           AND       EQUIPMENT              –    NET
                                                                         (Continued)

      Aset tetap telah diasuransikan terhadap risiko                     Property and equipment are insured against fire,
      kebakaran, pencurian dan risiko lainnya kepada                     theft and other risks to several insurance
      beberapa perusahaan asuransi dengan rincian                        companies with details as follows:
      sebagai berikut:

                                         30 September/         31 Desember/
                                      September 30, 2024       December 31,
                                        (Tidak Diaudit/        2023 (Diaudit/
                                          Unaudited)             Audited)
      Pihak ketiga
       PT Asuransi Harta Aman                                                                         PT Asuransi Harta Aman
        Pratama Tbk                        32.051.968.000         99.769.776.000                                Pratama Tbk
       PT Asuransi Umum Mega            1.526.631.631.693        825.864.928.927                      PT Asuransi Umum Mega
       PT Sompo Insurance Indonesia       191.856.896.065        385.000.042.855                 PT Sompo Insurance Indonesia
       PT Asuransi Raksa Pratikara          1.253.000.000          3.242.840.000                  PT Asuransi Raksa Pratikara
      Total                              1.751.793.495.758     1.313.877.587.782                                        Total

      Manajemen       berpendapat      bahwa      nilai                  Management believes that the insurance coverage
      pertanggungan asuransi aset tetap tersebut cukup                   amount for property and equipment is adequate to
      untuk menutup kemungkinan kerugian atas aset                       cover all possible losses.
      yang dipertanggungkan.

      Pada 30 September 2024 tidak terdapat                              In September 30, 2024, there is no claim from
      penggantian dari penggantian asuransi. Pada 30                     insurance companies. In September 30, 2023, there
      September 2023, terdapat sebanyak satu unit                        is one units of vehicles leased to the customer, were
      kendaraan yang sedang disewa oleh pelanggan                        in accident which caused the vehicle to become
      mengalami kecelakaan yang menyebabkan                              totally broken and cannot be repaired. For these
      kendaraan rusak total dan tidak dapat diperbaiki.                  accidents, the Company had received claim
      Atas kejadian tersebut, Perusahaan telah                           payment from insurance companies, PT Tokyo
      mendapatkan penggantian dari perusahaan asuransi                   Marine in September 30, 2023 with details of
      PT Tokyo Marine pada 30 September 2023 dengan                      calculation as follows:
      rincian perhitungan sebagai berikut:

                                         30 September/         31 Desember/
                                      September 30, 2024       December 31,
                                        (Tidak Diaudit/        2023 (Diaudit/
                                          Unaudited)             Audited)
      Penerimaan klaim asuransi                         -          1.647.389.584                   Proceed from insurance claim
      Nilai tercatat kendaraan                          -        (1.476.050.000)                    Carrying amount of vehicles
      Rugi dari klaim asuransi                          -           171.339.584                      Loss from insurance claim




                                                             126
Page 131
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


11.   ASET TETAP – NETO (Lanjutan)                           11. PROPERTY                AND        EQUIPMENT              –     NET
                                                                 (Continued)

      Pada tanggal 30 September 2024 dan 31 Desember                As at September 30, 2024 and December 31, 2023 the
      2023, Grup memiliki 4 (empat) bidang tanah yang               Group owned 4 (four) parcels of land located in
      terletak di Palembang, Tangerang dan Surabaya                 Palembang, Tangerang and Surabaya with “Hak-
      dengan hak legal berupa sertifikat Hak-Guna                   Guna Bangunan” (HGB) certificates which have
      Bangunan (HGB) yang berjangka waktu 30 (tiga                  useful lives of 30 (thirty) years and will mature on
      puluh) tahun yang akan jatuh tempo antara tahun               years between 2041 - 2051.
      2041 - 2051.

      Manajemen berpendapat tidak terdapat masalah                  Management believes there is no problem with
      dengan perpanjangan HGB, karena seluruh tanah                 extension of HGB, since all the land were acquired
      diperoleh secara sah dan didukung dengan bukti                legally and supported by sufficient evidence of
      kepemilikan yang memadai.                                     ownership.

      Aset tetap Grup, yaitu dua bidang tanah seluas                Property and equipment of the Group, consisting of
      1.942 dan 6.590 meter persegi dengan SHGB No.                 two parcels of land of 1,942 and 6,590 square meters
      834, 835, 836, 01040, 01041, 01042, 1599, 1600                with SHGB Nos. 834, 835, 836, 01040, 01041, 01042,
      dan 1601 yang berlokasi di Jalan Lengkong                     1599, 1600 and 1601 located in Jalan Lengkong
      Gudang Timur, Serpong, Tangerang Selatan,                     Gudang Timur, Serpong, Tangerang Selatan, Banten,
      Banten, sebidang tanah seluas 552 meter persegi               a parcel of land of 552 square meters with SHGB No.
      dengan SHGB No. 3050 yang berlokasi di                        3050 located in Sukolilo, Surabaya, East Java, and a
      Sukolilo, Surabaya, Jawa Timur, dan sebidang                  parcels of land of 1,920 square meters with SHGB
      tanah seluas 1.920 meter persegi dengan SHGB                  No. 8446 which located in Talang Kelapa,
      No. 8446 yang terletak di Talang Kelapa,                      Palembang, South Sumatra, are pledged as collateral
      Palembang, Sumatra Selatan, digunakan sebagai                 for bank loan (Note 12).
      jaminan utang bank (Catatan 12).

      Aset tetap Grup, yaitu beberapa kendaraan sewa                 Property and equipment of the Group, consisting of
      dan kendaraan kantor, digunakan sebagai jaminan                several leased and office vehicles are used as
      atas liabilitas sewa kepada pihak ketiga dan pihak             collateral for lease liabilities due to third parties
      berelasi (Catatan 38).                                         and related party (Note 38).

      Manajemen berpendapat bahwa tidak terdapat                     Management believes that there are no events or
      kejadian    atau   perubahan    keadaan   yang                 changes in circumstances which may indicate
      mengindikasikan penurunan nilai atas aset tetap                impairment in value of property and equipment as
      pada tanggal 30 September 2024 dan 31 December                 at September 30, 2024 and December 31, 2023.
      2023.

      Aset dalam pembangunan                                         Construction in progress

      PT Sweet Green Indonesia (SGI)                                 PT Sweet Green Indonesia (SGI)

      Aset     dalam    penyelesaian   pada     tanggal              Construction in progress as at September 30, 2024
      30 September 2024 merupakan pembangunan                        represents construction of greenhouse located in
      greenhouse yang berada di Cijunti, Purwakarta,                 Cijunti, Purwakarta, West Java. As at September
      Jawa Barat. Pada tanggal 30 September 2024 ,                   30, 2024, the percentage of completion of the
      persentase aset dalam penyelesaian tersebut                    aforesaid construction in progress is 60%,
      diperkirakan sebesar 60%. Penyelesaian aset dalam              respectively. The construction in progress will be
      pembangunan tersebut diperkirakan akan selesai                 completed in 2024.
      pada tahun 2024.

                                                           127
Page 132
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK                                                 12.   BANK LOANS

                                      30 September/               31 Desember/
                                    September 30, 2024            December 31,
                                      (Tidak Diaudit/             2023 (Diaudit/
                                        Unaudited)                  Audited)
      PT Bank Mandiri                                                                                     PT Bank Mandiri
       (Persero) Tbk                      26.356.091.581           302.007.704.996                           (Persero) Tbk
      PT Bank Victoria                                                                                    PT Bank Victoria
       International Tbk                 309.367.677.460           148.106.679.853                       International Tbk
      PT Bank Victoria Syariah            25.000.000.000            25.000.000.000                 PT Bank Victoria Syariah
      PT Bank Central Asia Tbk            59.859.368.411                       -                   PT Bank Central Asia Tbk
      PT Bank Woori Tbk                  510.608.853.134            28.714.238.321                      PT Bank Woori Tbk
      Total                              931.191.990.586           503.828.623.170                                    Total

      PT Bank Victoria International Syariah                           PT Bank Victoria Syariah

      PT Batavia Prosperindo Trans Tbk (BPTR)                          PT Batavia Prosperindo Trans Tbk (BPTR)

      Berdasarkan Surat Pemberitahuan Persetujuan                      Based on Notification Letter of Financing
      Pembiayaan No. 212/DKJP/XI/2019 tanggal                          Facilities Approval No. 212/DKJP/XI/2019, dated
      12 November 2019 dari Victoria Syariah, Grup                     November 12, 2019 from Victoria Syariah, the
      memperoleh fasilitas kredit berupa PMK                           Group obtained a credit facility in the form of
      Musyarakah (Revolving), yang peruntukannya                       Musharaka PMK (Revolving), the designation of
      adalah sebagai modal kerja Grup sebesar                          which was as working capital, amounting to Rp
      Rp 25.000.000.000, dengan jangka waktu pinjaman                  25,000,000,000, with a loan period of 12 months
      selama 12 bulan dan bagi hasil sebesar 11% efektif               and profit sharing of 11% effective per year with
      per tahun dengan porsi syirkah sebesar 9,09% bank                syirkah portion of 9.09% of bank and 90.91% of
      dan 90,91% nasabah.                                              customers.

      Berdasarkan surat No. 574.DKJP/XI/2021 pada                      Based on letter No. 574.DKJP/XI/2021 dated
      tanggal 11 November 2021, jangka waktu                           November 11, 2021, the financing period were
      pembiayaan diperpanjang selama 12 bulan sejak                    extended for 12 months from November 21, 2021
      tanggal 21 November 2021 sampai dengan tanggal                   until November 21, 2022.
      21 November 2022.

      Berdasarkan surat No. 530/DKJP/XI/2022 tanggal                   Based on letter No. 530/DKJP/XI/2022 dated
      18 November 2022, jangka waktu pembiayaan                        November 18, 2022, the financing period were
      diperpanjang selama 12 bulan sejak tanggal                       extended for 12 months from November 21, 2022
      21 November 2022 sampai dengan tanggal                           until November 21, 2023, with profit sharing of
      21 November 2023, dengan bagi hasil sebesar                      7.75% per year.
      7,75% per tahun.




                                                           128
Page 133
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                        12.   BANK LOANS (Continued)

      PT Bank Victoria International Syariah                             PT Bank Victoria Syariah

      PT Batavia Prosperindo Trans Tbk (BPTR)                            PT Batavia Prosperindo Trans Tbk (BPTR)
      Berdasarkan surat No. 361/DBIS/XI/2023 tanggal                     Based on letter No. 361/DBIS/XI/2023 dated
      29 November 2023, jangka waktu pembiayaan                          November 29, 2023, the financing period were
      diperpanjang selama 12 bulan sejak tanggal                         extended for 12 months from November 21, 2023
      21 November 2023 sampai tanggal 21 November                        until November 21, 2024, with profit sharing of
      2024, dengan bagi hasil sebesar 8,5% per tahun.                    8.5% per year.
      Fasilitas ini dijaminkan dengan sebagai berikut:                   This facility is secured as follows:

      •    Piutang usaha Grup sebesar 110% dari saldo                    •     The Group‘s trade receivables amounting to
           pinjaman terhutang;                                                 110% of outstanding loan;
      •    Jaminan Grup dari PT Batavia Prosperindo                      •     Corporate Guarantee from PT Batavia
           Makmur pada tanggal 30 Juni 2024 dan 31                             Prosperindo Makmur as of June 30, 2024 and
           Desember 2023;                                                      Decrmber 31,2023;
      •    Cross collateral guarantee dengan fasilitas                   •     Cross collateral guarantee with the facility
           yang Grup peroleh dari PT Bank Victoria                             that the Group obtained from PT Bank
           International Tbk yaitu Sertifikat Hak-Guna                         Victoria International Tbk which is Building
           Bangunan (SHGB) No. 00834, 00835, 00836,                            Rights Titles (SHGB) No. 00834, 00835,
           yang terletak di Jalan Lengkong Gudang                              00836, located at Jalan Lengkong Gudang
           Timur, Serpong, Tangerang Selatan, Banten.                          Timur, Serpong, Tangerang Selatan, Banten .

      Tidak ada rasio bank covenant yang diatur dalam                    There were no bank covenants ratio stipulated in
      perjanjian antara BPT dan Bank.                                    the agreement between BPT and the Bank.

      PT Bank Victoria International Tbk                                 PT Bank Victoria International Tbk

      PT Batavia Prosperindo Trans Tbk (BPTR)                            PT Batavia Prosperindo Trans Tbk (BPTR)

      Berdasarkan        surat     No.  818/OL/CCD-                      Based on letter No. 818/OL/CCD-VIC/XII/2018
      VIC/XII/2018 tanggal 20 Desember 2018, Grup                        dated December 20, 2018, the Group obtained
      memperoleh fasilitas pinjaman dari Victoria                        credit facilities from Victoria as follows:
      berupa fasilitas sebagai berikut:

      a.   Fasilitas RKKK dengan jumlah pagu kredit                      a.    RKKK facility with a credit limit amounting
           sebesar Rp 1.000.000.000 untuk modal kerja                          to Rp 1,000,000,000 for the Group’s working
           operasional Grup. Fasilitas kredit ini dikenai                      capital. This facility bears interest at
           bunga sebesar 11,00% per tahun dan akan                             11.00% per year and will be due on
           berakhir pada tanggal 20 Desember 2019.                             December 20, 2019.
      b.   Fasilitas FLKK 1 dengan jumlah pagu kredit                    b.    FLKK 1 facility with a credit limit amounting
           sebesar Rp 15.000.000.000 untuk modal kerja                         to Rp 15,000,000,000 for the Group’s
           operasional Grup. Fasilitas kredit ini dikenai                      working capital. This facility bears interest at
           bunga sebesar 11,00% per tahun dan akan                             11.00% per year and will be due on
           berakhir pada tanggal 20 Desember 2022.                             December 20, 2022.
      c.   Fasilitas TLKK dengan jumlah pagu kredit                      c.    TLKK facility with a credit limit amounting to
           sebesar Rp 34.000.000.000 untuk mengambil                           Rp 34,000,000,000 to take over credit facility
           alih fasilitas kredit dari PT Bank Central Asia                     from PT Bank Central Asia Tbk. This facility
           Tbk. Fasilitas kredit ini dikenai bunga sebesar                     bears interest at 11.00% per year and will be
           11,00% per tahun dan akan berakhir pada                             due on December 20, 2024.
           tanggal 20 Desember 2024.
                                                             129
Page 134
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                       12.   BANK LOANS (Continued)

      PT Bank Victoria International Tbk (Lanjutan)                     PT Bank Victoria International Tbk (Continued)

      Berdasarkan       surat      No.      166/OL/CCD-                 Based on letter No. 166/OL/CCD-VIC/XII/2018
      VIC/XII/2018 tanggal 4 Maret 2019, Grup                           dated March 4, 2019, the Group obtained
      memperoleh penambahan fasilitas pinjaman dari                     additional credit facilities from Victoria as follows:
      Victoria berupa fasilitas sebagai berikut:

      a.   Fasilitas RKKK mendapat penambahan                           a.    RKKK facility obtained an increase of credit
           jumlah pagu kredit menjadi sebesar                                 limit become Rp 15,000,000,000 for the
           Rp 15.000.000.000 untuk modal kerja                                Group’s working capital. This facility bears
           operasional Grup. Fasilitas kredit ini dikenai                     interest at 11.00% per year and will be due
           bunga sebesar 11,00% per tahun dan akan                            on December 21, 2019.
           berakhir pada tanggal 21 Desember 2019.

      b.   Fasilitas FLKK 2 dengan jumlah pagu kredit                   b.    FLKK 2 facility with a credit limit amounting
           sebesar Rp 5.000.000.000 sebagai modal                             to Rp 5,000,000,000 for the Group’s working
           kerja Grup. Fasilitas ini dikenai bunga                            capital. This facility bears interest at 11.00%
           sebesar 11,00% per tahun dan akan berakhir                         per year and will be due on July 25, 2023.
           pada tanggal 25 Juli 2023.

      Berdasarkan surat No. 534/OL/CCD-VIC/VII/2019                     Based on letter No. 534/OL/CCD-VIC/VII/2019
      tanggal 24 Juli 2019, Grup memperoleh fasilitas                   dated July 24, 2019, the Group obtained credit
      pinjaman FLKK 3 dengan jumlah pagu kredit                         facility FLKK 3 with a credit limit amounting to
      sebesar Rp 10.000.000.000 sebagai modal kerja                     Rp 10,000,000,000 for the Group’s working
      Grup. Fasilitas ini dikenai bunga sebesar 11,00%                  capital. This facility bears interest at 11.00% per
      per tahun dan akan berakhir pada tanggal                          year and will be due on April 4, 2023.
      4 April 2023.
      Berdasarkan surat No. 261/OL/CCD-VIC/IV/2020                      Based on letter No. 261/OL/CCD-VIC/IV/2020
      tanggal 23 April 2020, Victoria menyetujui untuk                  dated April 23, 2020, Victoria agreed to
      merestrukturisasi fasilitas kredit yang telah                     restructuring of credit facility that already
      diperoleh Grup sebagai berikut:                                   obtained by the Group as follows:
      a.   Pemberian grace period selama 1 tahun untuk                  a.    Granting a grace period of 1 year for the
           fasilitas FLKK 1 dari tanggal 27 April 2020                        FLKK 1 facility from April 27, 2020 until
           hingga 25 Maret 2021. Fasilitas kredit                             March 25, 2021. This credit facility will be
           ini akan jatuh tempo pada tanggal                                  due on December 21, 2023.
           21 Desember 2023.
      b.   Pemberian grace period selama 1 tahun untuk                  b.    Granting a grace period of 1 year for the
           fasilitas FLKK 2 dari tanggal 27 April 2020                        FLKK 2 facility from April 27, 2020 until
           hingga 25 Maret 2021. Fasilitas kredit ini                         March 25, 2021. This credit facility will be
           akan jatuh tempo pada tanggal 6 Maret 2024.                        due on March 6, 2024.
      c.   Pemberian grace period selama 1 tahun untuk                  c.    Granting a grace period of 1 year for the
           fasilitas FLKK 3 dari tanggal 27 April 2020                        FLKK 3 facility from April 27, 2020 until
           hingga 25 Maret 2021. Fasilitas kredit ini                         March 25, 2021. This credit facility will be
           akan jatuh tempo pada tanggal 25 Juli 2024.                        due on July 25, 2024.
      d.   Pemberian grace period selama 1 tahun untuk                  d.    Granting a grace period of 1 year for the
           fasilitas TLKK dari tanggal 27 April 2020                          TLKK facility from April 27, 2020 until
           hingga 25 Maret 2021. Fasilitas kredit ini                         March 25, 2021. This credit facility will be
           akan jatuh tempo pada tanggal 25 Desember                          due on December 25, 2025.
           2025.

                                                            130
Page 135
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
 DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
 LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
 KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
 Tanggal 30 September 2024                                                                         As at September 30, 2024
 (Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                         12.   BANK LOANS (Continued)

      PT Bank Victoria International Tbk (Lanjutan)                       PT Bank Victoria International Tbk (Continued)

      PT Batavia Prosperindo Trans Tbk (BPTR)                             PT Batavia Prosperindo Trans Tbk (BPTR)
      (Lanjutan)                                                          (Continued)

      Berdasarkan surat No. 022/OL/CCD-VIC/II/2021                        Based on letter No. 022/OL/CCD-VIC/II/2021
      tanggal 8 Februari 2021, Grup memperoleh fasilitas                  dated February 8, 2021, the Group obtained credit
      pinjaman TLKK 2 dan 3 dengan jumlah pagu                            facility TLKK 2 and 3 with a credit limit for each
      kredit     masing-masing      fasilitas   sebesar                   facility amounting to Rp 50,000,000,000, for
      Rp 50.000.000.000 sebagai pembiayaan pembelian                      financing the Group’s vehicle unit purchase. This
      unit kendaraan Grup. Fasilitas ini dikenai bunga                    facility bears interest at 10.00% per year and will
      sebesar 10,00% per tahun dan akan jatuh tempo                       be due in 48 months after disbursement.
      dalam 48 bulan setelah penarikan.

      Berdasarkan       surat     No.      067/SPK/CBG-                   Based on letter No. 067/SPK/CBG-VIC/VI/2022
      VIC/VI/2022 tanggal 6 Juni 2022, yang telah                         dated June 6, 2022, through Notarial Deed No. 8
      diaktakan dengan Akta Notaris No. 8 tanggal                         dated June 6, 2022 of Suwarni Sukiman, S.H.,
      6 Juni 2022 dari Suwarni Sukiman, S.H., Notaris di                  Notary in Jakarta, all facilities obtained by the
      Jakarta, seluruh fasilitas yang diperoleh Grup dari                 Group from Victoria bear interest at 7.50% per
      Victoria dikenai suku bunga sebesar 7,50% per                       annum with additional loan facilities from Victoria
      tahun dan Grup memperoleh penambahan fasilitas                      as follows:
      pinjaman dari Victoria berupa fasilitas sebagai
      berikut:
      a.    Fasilitas RKKK dengan jumlah pagu kredit                      a.    RKKK facility with a credit limit amounting
            sebesar Rp 20.000.000.000 untuk modal kerja                         to Rp 20,000,000,000 for the Group’s
            operasional Grup. Fasilitas kredit ini berakhir                     working capital. This facility will be due on
            pada tanggal 6 Juni 2023                                            June 6, 2023.
      b.    Fasilitas DLKK dengan jumlah pagu kredit                      b.    DLKK facility with a credit limit amounting
            sebesar Rp 20.000.000.000 sebagai modal                             to Rp 20,000,000,000 for the Group’s
            kerja Grup. Fasilitas kredit ini berakhir pada                      working capital. This facility will be due on
            tanggal 6 Juni 2023.                                                June 6, 2023..
      Berdasarkan surat No. 336/SK/CBG/X/2023                             Based on letter No. 336/SK/CBG/X/2023 dated June
      tanggal 6 Juni 2023, yang telah diaktakan dengan                    6, 2023, through Notarial Deed No. 8 dated
      Akta Notaris No. 8 tanggal 6 Juni 2022 dari                         June 6, 2022 of Suwarni Sukiman, S.H., Notary in
      Suwarni Sukiman, S.H., Notaris di Jakarta, seluruh                  Jakarta, all facilities obtained by the Group from
      fasilitas yang diperoleh Grup dari Victoria dikenai                 Victoria bear interest at 7.50% per annum with
      suku bunga sebesar 7,50% per tahun dan Grup                         additional loan facilities from Victoria as follows:
      memperoleh penambahan fasilitas pinjaman dari
      Victoria berupa fasilitas sebagai berikut:
      a.     Fasilitas RKKK dengan jumlah pagu kredit                     a.    RKKK facility with a credit limit amounting to
             sebesar Rp 20.000.000.000 untuk modal                              Rp 20,000,000,000 for the Group’s working
             kerja operasional Grup. Fasilitas kredit                           capital This credit facility will be due in June
             berakhir pada tanggal 6 Juni 2024.                                 6, 2024.

      b.   Fasilitas DLKK dengan jumlah pagu kredit                       b.    DLKK facility with a credit limit amounting to
           sebesar Rp 20.000.000.000 sebagai modal                              Rp 20,000,000,000 for the Group’s working
           kerja Grup. Fasilitas kredit ini berakhir pada                       capital. This facility will be due on June 6,
           tanggal 6 Juni 2023. Fasilitas kredit berakhir                       2023. This credit facility will be due in June 6,
           pada tanggal 6 Juni 2024.                                            2024.

                                                              131
Page 136
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                         12.   BANK LOANS (Continued)
      PT Bank Victoria International Tbk (Lanjutan)                       PT Bank Victoria International Tbk (Continued)
      PT Batavia Prosperindo Trans Tbk (BPTR)                             PT Batavia Prosperindo Trans Tbk (BPTR)

      Berdasarkan       surat     No.      067/SPK/CBG-                   Based on letter No. 067/SPK/CBG-VIC/VI/2022
      VIC/VI/2022 tanggal 6 Juni 2022, yang telah                         dated June 6, 2022, through Notarial Deed No. 8
      diaktakan dengan Akta Notaris No. 8 tanggal                         dated June 6, 2022 of Suwarni Sukiman, S.H.,
      6 Juni 2022 dari Suwarni Sukiman, S.H., Notaris di                  Notary in Jakarta, all facilities obtained by the
      Jakarta, seluruh fasilitas yang diperoleh Grup dari                 Group from Victoria bear interest at 7.50% per
      Victoria dikenai suku bunga sebesar 7,50% per                       annum with additional loan facilities from Victoria
      tahun dan Grup memperoleh penambahan fasilitas                      as follows:
      pinjaman dari Victoria berupa fasilitas sebagai
      berikut:
      a.    Fasilitas RKKK dengan jumlah pagu kredit                      a.    RKKK facility with a credit limit amounting
            sebesar Rp 20.000.000.000 untuk modal kerja                         to Rp 20,000,000,000 for the Group’s
            operasional Grup. Fasilitas kredit ini berakhir                     working capital. This facility will be due on
            pada tanggal 6 Juni 2023                                            June 6, 2023.
      b.    Fasilitas DLKK dengan jumlah pagu kredit                      b.    DLKK facility with a credit limit amounting
            sebesar Rp 20.000.000.000 sebagai modal                             to Rp 20,000,000,000 for the Group’s
            kerja Grup. Fasilitas kredit ini berakhir pada                      working capital. This facility will be due on
            tanggal 6 Juni 2023.                                                June 6, 2023.
      Berdasarkan surat No. 209/CBG-VIC/I/23 tanggal                      Based on letter No. 209/CBG-VIC/I/23 dated
      11 Januari 2023, tingkat suku bunga pinjaman                        January 11, 2023, the loan interest rate change to
      menjadi 8,0% per tahun yang berlaku efektif 1                       8.0% per annum which is effective January 1, 2023.
      Januari 2023.

      Berdasarkan surat No. 336/SK/CBG/X/2023                             Based on letter No. 336/SK/CBG/X/2023 dated June
      tanggal 6 Juni 2023, yang telah diaktakan dengan                    6, 2023, through Notarial Deed No. 8 dated
      Akta Notaris No. 8 tanggal 6 Juni 2022 dari                         June 6, 2022 of Suwarni Sukiman, S.H., Notary in
      Suwarni Sukiman, S.H., Notaris di Jakarta, seluruh                  Jakarta, all facilities obtained by the Group from
      fasilitas yang diperoleh Grup dari Victoria dikenai                 Victoria bear interest at 7.50% per annum with
      suku bunga sebesar 7,50% per tahun dan Grup                         additional loan facilities from Victoria as follows:
      memperoleh penambahan fasilitas pinjaman dari
      Victoria berupa fasilitas sebagai berikut:
      a.     Fasilitas RKKK dengan jumlah pagu kredit                     a.    RKKK facility with a credit limit amounting to
             sebesar Rp 20.000.000.000 untuk modal                              Rp 20,000,000,000 for the Group’s working
             kerja operasional Grup. Fasilitas kredit                           capital This credit facility will be due in June
             berakhir pada tanggal 6 Juni 2024.                                 6, 2024.

      b.   Fasilitas DLKK dengan jumlah pagu kredit                       b.    DLKK facility with a credit limit amounting to
           sebesar Rp 20.000.000.000 sebagai modal                              Rp 20,000,000,000 for the Group’s working
           kerja Grup. Fasilitas kredit ini berakhir pada                       capital. This facility will be due on June 6,
           tanggal 6 Juni 2023. Fasilitas kredit berakhir                       2023. This credit facility will be due in June 6,
           pada tanggal 6 Juni 2024.                                            2024.




                                                              132
Page 137
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                        12.   BANK LOANS (Continued)
      PT Bank Victoria International Tbk (Lanjutan)                      PT Bank Victoria International Tbk (Continued)
      PT Batavia Prosperindo Trans Tbk (BPTR)                            PT Batavia Prosperindo Trans Tbk (BPTR)

      Berdasarkan surat No. 191/SPK/CBG-VIC/V/2024                       Based on letter No. 191/SPK/CBG-VIC/V/2024
      tanggal 16 Mei 2024, Perusahaan memperoleh                         dated May 16, 2024, the Company obtained a new
      penambahan fasilitas dan perpanjangan fasilitas                    facility and an extension from Victoria as follows:
      dari Victoria sebagai berikut:
      a.   Perpanjangan atas fasilitas RKKK dengan                       a.   An extension on RKKK facility with a credit
           jumlah pagu kredit sebesar Rp 20.000.000.000                       limit amounting to Rp 20,000,000,000 for the
           untuk modal kerja operasional Perusahaan.                          Company’s working capital. This facility bear
           Fasilitas ini dikenai suku bunga sebesar                           interest at 8.25% effective per annum and will
           8,25% efektif pertahun dan fasilitas kredit ini                    be due on June 6, 2025.
           akan berakhir pada tanggal 6 Juni 2025 .
      b.   Penambahan fasilitas Term Loan IV (TLKK
           IV) dengan jumlah pagu kredit sebesar                         b.   Addition Term Loan IV facility (TLKK IV) with
           Rp 150.000.000.000 sebagai pembelian                               a credit limit amounting to Rp 150,000,000,000
           kendaraan Perusahaan. Fasilitas ini dikenai                        for financing the Company’s vehicle unit
           suku bunga sebesar 8,25% efektif pertahun                          purchase. This facility bear interest at 8.25%
           dan akan jatuh tempo dalam 48 bulan setelah                        effective per annum and will be due in 48
           penarikan.                                                         months after disbursement.


       Fasilitas-fasilitas tersebut dijaminkan dengan                     These facilities are secured by SHGB No. 00834,
       SHGB No. 00834, 00835, 00836, 01040, 01041,                        00835, 00836, 0001040, 01041, and 01042 which
       dan 01042 yang terletak di Jalan Lengkong                          located at Jalan Lengkong Gudang Timur, Serpong,
       Gudang Timur, Serpong, Tangerang Selatan,                          Tangerang Selatan, Banten, SHGB No. 3050, which
       Banten, SHGB No. 3050, yang terletak di                            located in Sukolilo, Surabaya, East Java, and
       Sukolilo, Surabaya, Jawa Timur, dan SHGB                           SHGB No. 8446 which located in Talang Kelapa,
       No.8446 yang terletak di Talang Kelapa,                            Palembang, South Sumatra, owned by the Group,
       Palembang, Sumatra Selatan, milik Grup, BPKB                       BPKB of financed vehicle, and Corporate
       kendaraan yang dibiayai, dan Jaminan Grup dari                     Guarantee from PT Batavia Prosperindo
       PT Batavia Prosperindo Internasional Tbk pada                      Internasional Tbk for September 30, 2024 and
       tanggal 30 September 2024 dan 31 Desember                          December 31, 2023.
       2023.




                                                             133
Page 138
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                        12.   BANK LOANS (Continued)

      PT Bank Victoria International Tbk (Lanjutan)                      PT Bank Victoria International Tbk (Continued)

      PT Batavia Prosperindo Trans Tbk (BPTR)                            PT Batavia Prosperindo Trans Tbk (BPTR)
      (Lanjutan)                                                         (Continued)


      Atas fasilitas-fasilitas pinjaman tersebut, Grup                   In accordance with these facilities, the Group,
      tanpa persetujuan dari Victoria dilarang                           without Victoria’s approval, is prohibited from
      melakukan hal-hal berikut:                                         doing the following:

      •    menggunakan fasilitas kredit yang diterima                    •     use credit facility for different purposes
           selain dari tujuan dan keperluan yang telah                         other than what have been agreed upon;
           disepakati;
      •    melakukan penggabungan, akuisisi, dan                         •     perform merger, acquisition, and sale or
           penjualan atau pemindahtanganan hak atas                            transfer the Group’s right of wealth.
           kekayaan       Grup.       Penjualan/pelepasan                      Sales/disposal excluded for the Group’s
           dikecualikan untuk kegiatan usaha rutin Grup                        routine     business    activities    (vehicle
           (peremajaan kendaraan);                                             rejuvenation);
      •    mengubah Anggaran Dasar Grup;                                 •    amend the Group’s Articles of Association;
      •    mengikatkan diri sebagai penjamin (Jaminan                    •    bind itself as guarantor (Corporate
           Grup) kepada pihak lain;                                           Guarantee) to other parties;
      •    melakukan pelunasan pinjaman pemegang                         •    settle due to shareholders or related parties;
           saham atau pihak berelasi;
      •    membagikan dividen selama jangka waktu                        •    distribute dividends within facility period;
           fasilitas;
      •    memperoleh pinjaman kredit baru dari pihak                    •    obtain new credit facility from other parties
           lain, kecuali untuk transaksi dagang yang                          except for ordinary trade transactions or
           lazim atau pinjaman subordinasi dari                               subordinated loans from shareholders;
           pemegang saham;
      •    melakukan perluasan atau penyempitan                          •    make a business expansion or regression that
           usaha      yang      dapat     mempengaruhi                        may affect the return of the amount owed to
           pengembalian jumlah utang kepada Victoria;                         Victoria;
      •    melakukan investasi lainnya yang tidak                        •    make other investments which are not in
           mempunyai hubungan dengan usaha yang                               conformity with the Group’s business, except
           dijalankan Grup, kecuali investasi lainnya                         the other investments which already exist;
           yang telah ada saat ini;
      •    mengajukan      permohonan       pailit    atau               •    submit a bankruptcy or delay the debt
           penundaan pembayaran utang;                                        payment;
      •    mengalihkan      sebagian     atau      seluruh               •    transfer some or all the Group’s
           hak/kewajiban Grup sesuai perjanjian kredit                        rights/obligations    according to the
           kepada pihak lain;                                                 agreement;
      •    memberikan pinjaman kepada pihak lain.                        •    provide loans to other parties.

      Tidak ada rasio bank covenant yang diatur dalam                    There were no bank covenants ratio stipulated in
      perjanjian antara BPT dan Bank.                                    the agreement between BPT and the Bank.




                                                             134
Page 139
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                     12.   BANK LOANS (Continued)

      PT Bank Mandiri (Persero) Tbk                                   PT Bank Mandiri (Persero) Tbk

      PT Batavia Prosperindo Trans Tbk (BPTR)                         PT Batavia Prosperindo Trans Tbk (BPTR)

      Pada tanggal 25 Juli 2022, berdasarkan Akta                     On July 25, 2022, based on the Deed of Investment
      Perjanjian Kredit Investasi No. 70 Tanggal                      Credit Agreement No. 70 dated July 25, 2022 of
      25 Juli 2022 dari Muhammad Hanafi, S.H., Notaris                Muhammad Hanafi S.H., Notary in Jakarta, the
      di Jakarta, Grup telah menerima Fasilitas Kredit                Group has received an Investment Credit Facility
      Investasi dari PT Bank Mandiri (Persero) Tbk                    from PT Bank Mandiri (Persero) Tbk with a total
      dengan        jumlah      fasilitas      sebesar                facility of Rp 185,000,000,000 (non revolving), for
      Rp 185.000.000.000 (non revolving), untuk                       the purchase of a new vehicle, bear interest at
      pembelian kendaraan baru, dengan suku bunga                     8.25% per year with maximum loan term 60 months
      8,25% per tahun dan jangka waktu pinjaman
      maksimal selama 60 bulan.

      Fasilitas-fasilitas tersebut dijaminkan dengan                  These facilities are secured by SHGB Nos. 1599,
      SHGB No. 1599, 1600 dan 1601 yang terletak di                   1600 and 1601 which located at Jalan Lengkong
      Jalan Lengkong Gudang Timur, Serpong,                           Gudang Timur, Serpong, Tangerang Selatan,
      Tangerang Selatan, Banten, milik Grup, dan                      Banten, owned by the Group, and financed vehicle.
      kendaraan yang dibiayai

      Atas fasilitas-fasilitas pinjaman tersebut, Grup                In accordance with these facilities, the Group,
      tanpa persetujuan dari Mandiri dilarang melakukan               without Mandiri’s approval, is prohibited from
      hal-hal berikut:                                                doing the following:

      •    melakukan penggabungan, akuisisi, atau                     •     perform merger, acquisition, or change
           mengubah permodalan serta komposisi                              capital or composition of shareholders except
           pemegang saham kecuali Batavia Prosperindo                       Batavia Prosperindo Group still as majority
           Grup masih memegang saham mayoritas;                             shareholder;
      •    mengikatkan diri sebagai penjamin atau                     •     bind itself as guarantor or pledge assets to
           menjaminkan harta kepada pihak lain                              other parties;
      •    membagikan dividen                                         •     distribute dividends;
      •    mengalihkan hak dan kewajiban yang timbul                  •     transfer the rights and obligations arising in
           berkaitan dengan fasilitas kredit                                connection with the credit facility;
      •    menjual aset kecuali sesuai dengan bidang                  •     selling assets except in accordance with the
           usaha Grup;                                                      Group's line of business;
      •    memindahtangankan aset jaminan kecuali                     •     transferring collateral assets except in
           sesuai dengan bidang usaha Grup;                                 accordance with the Group's line of business;
      •    membuat perjanjian lain yang bertentangan                  •     make other agreements that conflict with
           dengan perjanjian kredit;                                        credit agreements;




                                                          135
Page 140
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                     12.    BANK LOANS (Continued)

      PT Bank Woori Saudara Indonesia 1906 Tbk                         PT Bank Woori Saudara Indonesia 1906 Tbk

      PT Batavia Prosperindo Trans Tbk (BPTR)                          PT Batavia Prosperindo Trans Tbk (BPTR)

      Pada tanggal 8 Agustus 2023, berdasarkan                        On August 8, 2023, based on Credit Agreements
      Perjanjian        Kredit        No.12/PK/KPKB-                  No.12/PK/KPKB-AMP/VIII/2023, No.19/PK/KPKB-
      AMP/VIII/2023,                  No.19/PK/KPKB-                  ENG/VIII/2023        and     No.     13/PK/KPKB-
      ENG/VIII/2023      dan     No.     13/PK/KPKB-                  BGR/VIII/2023 dated August 8, 2023 respectively,
      BGR/VIII/2023        masing-masing       tanggal                the Company has received an Investment Credit
      8 Agustus 2023, Perusahaan telah menerima                       Facility from PT Bank Woori Saudara Indonesia
      Fasilitas Kredit Investasi dari PT Bank Woori                   1906 Tbk with a total facility of RP30,000,000,000
      Saudara Indonesia 1906 Tbk dengan jumlah                        (non revolving), for the purchase of new vehicles,
      fasilitas sebesar Rp 30.000.000.000 (non                        with an interest rate of 6.60% - 7.03% per annum
      revolving), untuk pembelian kendaraan baru,                     and a loan term of 36 months and 48 months.
      dengan suku bunga 6,60% - 7,03% per tahun dan
      jangka waktu pinjaman 36 bulan dan 48 bulan.

      Fasilitas-fasilitas tersebut dijaminkan dengan                  These facilities are guaranteed by the Motor
      Buku Pemilik Kendaran Bermotor (BPKB)                           Vehicle Owner's Book (BPKB) of passenger
      Kendaraan penumpang yang terdaftar atas nama                    vehicles registered under the name of PT Batavia
      PT Batavia Prosperindo Trans, Tbk..                             Prosperindo Trans, Tbk..

      Atas fasilitas-fasilitas pinjaman tersebut, Grup                In accordance with these facilities, the Group,
      tanpa persetujuan dari PT Bank Woori Saudara                    without PT Bank Woori Saudara Indonesia 1906
      Indonesia 1906 Tbk, dilarang melakukan hal-hal                  Tbk.‘s approval, is prohibited from doing the
      berikut:                                                        following:

      •    Melakukan kegiatan usaha selain yang                        •     Conduct business activities other than those
           disebutkan dalam anggaran dasar Perseroan.                        mentioned in the Company's articles of
                                                                             association.
      •    Mengajukan permohonan pernyataan pailit                     •    Apply for bankruptcy declaration to the
           kepada Pengadilan Niaga untuk menyatakan                         Commercial Court to declare bankruptcy of
           pailit dari debitur sendiri.                                     the debtor himself.

      •    SHGB No. 1599, 1600 dan 1601 yang                           •    SHGB No. 1599, 1600 and 1601 located at
           terletak di Jalan Lengkong Gudang Timur,                         Jalan Lengkong Gudang Timur, Serpong,
           Serpong, Tangerang Selatan, Banten, milik                        South Tangerang, Banten, belongs to the
           Grup, dan kendaraan yang dibiayai                                Group, and vehicles financed (Note 19); and
           (Catatan 19); dan

      •    Ikatan fidusia atas kendaraan yang kendaraan                •    Fiduciary bond on the vehicle to be financed
           yang akan dibiayai sebesar harga kendaraan                       at the price of the on-the-road vehicle or a
           on-the-road atau minimal sebesar 125% dari                       minimum of 125% of the Credit facility limit.
           limit fasilitas Kredit.


      Atas fasilitas-fasilitas pinjaman tersebut, Grup                 In accordance with these facilities, the Group,
      tanpa persetujuan dari Mandiri dilarang melakukan                without Mandiri’s approval, is prohibited from
      hal-hal berikut:                                                 doing the following:


                                                          136
Page 141
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                       12.   BANK LOANS (Continued)

      PT Bank Woori Saudara Indonesia 1906 Tbk                          PT Bank Woori Saudara Indonesia 1906 Tbk
      (Lanjutan)                                                        (Continued)

      PT Batavia Prosperindo Trans Tbk (BPTR)                           PT Batavia Prosperindo Trans Tbk (BPTR)
      (Lanjutan)                                                        (Continued)

      •      melakukan penggabungan, akuisisi, atau                     •     perform merger, acquisition, or change
             mengubah permodalan serta komposisi                              capital or composition of shareholders except
             pemegang saham kecuali Batavia Prosperindo                       Batavia Prosperindo Group still as majority
             Grup masih memegang saham mayoritas;                             shareholder;
      •      mengikatkan diri sebagai penjamin atau                     •     bind itself as guarantor or pledge assets to
             menjaminkan harta kepada pihak lain                              other parties;
      •      membagikan      dividen      dengan  catatan               •     distribute dividends with a record of
             melaporkan kepada PT Bank Mandiri                                reporting to PT Bank Mandiri (Persero) Tbk
             (Persero) Tbk paling lambat satu bulan sejak                     no later than one month from the GMS on the
             RUPS atas pembagian dividen tersebut.                            distribution of dividends.
      •      mengalihkan hak dan kewajiban yang timbul                  •     transfer the rights and obligations arising in
             berkaitan dengan fasilitas kredit                                connection with the credit facility;
      •      menjual aset kecuali sesuai dengan bidang                  •     selling assets except in accordance with the
             usaha Grup;                                                      Group's line of business;

      •      Mengalihkan/menyerahkan kepada pihak                       •     Transfer/transfer to other parties, in part or
             lain, sebagian atau seluruhnya atas hak dan                      in whole the rights and obligations arising in
             kewajiban yang timbul berkaitan dengan                           connection with the credit facility.
             fasilitas kredit.
      •      Memindah tangankan aset jaminan kecuali                    •     transferring collateral assets except in
             sesuai dengan bidang usaha Grup;                                 accordance with the Group's line of business;
      •      membuat perjanjian lain yang bertentangan                  •     make other agreements that conflict with
             dengan perjanjian kredit;                                        credit agreements;

          Selama kredit belum lunas, PT Batavia                         As long as the credit has not been paid off, PT
          Prosperindo Trans Tbk wajib untuk memenuhi                    Batavia Prosperindo Trans Tbk obliged to fulfill
          financial covenant sebagai berikut:                           the financial covenant as follow:

      •      DER maksimal 400%                                          •     Maximum DER is 400%
      •      EBITDA per interest minimal 1,2x                           •     Minimum EBITDA per interest is 1.2x
      •      Ekuitas positif sepanjang masa kredit                      •     Positive equity throughout the credit period

      Pada tanggal 2 Juli 2024, Perusahaan menerima                     As of July 2, 2024, the Company receipt additional
      tambahan fasilitas kredit dari PT Bank Woori                      credit facility from PT Bank Woori Saudara
      Saudara Indonesia 1906 Tbk dengan plafond                         Indonesia 1906 Tbk with maximum plafond
      maksimal sebesar Rp 30.000.000.000 untuk                          amounted to Rp 30,000,000,000 for vehicle
      pembelian kendaraan, dengan tingkat suku bunga                    puchase, with bears interest at 7.47% effective per
      sebesar 7,47% efektif per tahun dan jangka waktu                  annum and will be due in 48 months after
      pinjaman selama 48 bulan dari tanggal pencairan.                  disbursement.

      Eksposur maksimum terhadap risiko likuiditas                      The maximum exposure to liquidity risk at the end
      pada akhir periode pelaporan adalah senilai jumlah                of the reporting date is the carrying value of each
      tercatat dari setiap kelas utang bank sebagaimana                 class of bank loan disclosed in Note 43.
      yang dijabarkan pada Catatan 43.

                                                            137
Page 142
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


12.   UTANG BANK (Lanjutan)                                      12.   BANK LOANS (Continued)

      PT Bank Victoria International Tbk (Lanjutan)                    PT Bank Victoria International Tbk (Continued)

       PT Sweet Greens Indonesia (SGI)                                  PT Sweet Greens Indonesia (SGI)

      Berdasarkan          surat        No.025/BVIC-                   Based on letter No.025/BVIC-SME/OL/BIP/XII/21
      SME/OL/BIP/XII/21 tanggal 24 Desember 2021                       dated 24 December 2021, which was last amended
      yang      terakhir    diubah    dengan      surat                by letter No.028/BVIC-SME/OL/BIP/IX/23 dated
      No.028/BVIC-SME/OL/BIP/IX/23             tanggal                 September 11 2023, the Company obtained a loan
      11 September 2023, Perusahaan memperoleh                         facility from Victoria in the form of the following
      fasilitas pinjaman dari Victoria berupa fasilitas                facilities:
      sebagai berikut:

      a.   Fasilitas PRK dengan jumlah pagu kredit                     a.    PRK facility with a credit limit amounting to
           sebesar Rp 3.000.000.000 untuk modal kerja                        Rp 1,000,000,000 for the Company’s working
           operasional Perusahaan. Fasilitas kredit ini                      capital. This facility bears interest at 10.00%
           dikenai bunga sebesar 10,00% per tahun dan                        per year and will be due on March 21, 2024.
           akan berakhir pada tanggal 21 Maret 2024.

      b.   Fasilitas Term Loan 01 dengan jumlah pagu                   b.    Term Loan 01 facility with a credit limit
           kredit sebesar Rp 3.000.000.000 untuk                             amounting to Rp 3,000,000,000 for the
           pembangunan green house. Fasilitas kredit ini                     construction of a green house. This facility
           dikenai bunga sebesar 10,00% per tahun dan                        bears interest at 10.00% per year and will be
           akan berakhir pada tanggal 21 Maret 2027.                         due on March 21, 2027.

      c.   Fasilitas Term Loan 02 dengan jumlah pagu                   c.    Term Loan 02 facility with a credit limit
           kredit sebesar Rp 8.000.000.000 untuk                             amounting to Rp 8,000,000,000 for the 2nd
           pembangunan green house tahap ke-2.                               phase construction of a green house. This
           Fasilitas kredit ini dikenai bunga sebesar                        facility bears interest at 10.00% per year and
           10,00% per tahun dan akan berakhir pada                           will be due on December 15, 2027.
           tanggal 15 Desember 2027.

      d.   Fasilitas Term Loan 03 dengan jumlah pagu                   d.    Term Loan 03 facility with a credit limit
           kredit sebesar Rp 25.000.000.000 untuk                            amounting to Rp 25,000,000,000 for the 6th
           pembangunan green house tahap ke-6 dan                            phase construction of a green house and
           water treatment plant (WTP) – central                             water treatment plant (WTP) – central
           support system (WTP-CSS). Fasilitas kredit                        support system (WTP-CSS). This facility
           ini dikenai bunga sebesar 10,00% per tahun                        bears interest at 10.00% per year and will be
           dan      akan   berakhir    pada   tanggal                        due on March 20, 2028.
           20 Maret 2028.

      e.   Fasilitas Term Loan 04 dengan jumlah pagu                   e.    Term Loan 04 facility with a credit limit
           kredit sebesar Rp 30.000.000.000 untuk                            amounting to Rp 30,000,000,000 for the 3th
           pembangunan green house tahap ke-03 dan                           and 6th phase construction of a green house.
           Tahap 06. Fasilitas kredit ini dikenai bunga                      This facility bears interest at 10.,25% per
           sebesar 10,25% per tahun dan akan berakhir                        year and will be due on March 11, 2029.
           pada tanggal 11 Maret 2029.




                                                           138
Page 143
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


 12.       UTANG BANK (Lanjutan)                                       12.       BANK LOANS (Continued)

           PT Bank Victoria International Tbk (Lanjutan)                         PT Bank Victoria International Tbk (Continued)

           PT Sweet Greens Indonesia (SGI) (Lanjutan)                            PT Sweet Greens Indonesia (SGI) (Continued)

       Atas    fasilitas-fasilitas pinjaman       tersebut,                  In accordance with these facilities, the Company,
       Perusahaan tanpa persetujuan dari Victoria dilarang                   without Victoria’s approval, is prohibited from
       melakukan hal-hal berikut:                                            doing the following:

       •      menggunakan fasilitas kredit yang diterima                     •      use credit facility for different purposes other
              selain dari tujuan dan keperluan yang telah                           than what have been agreed upon;
              disepakati;
       •      melakukan penggabungan, akuisisi, dan                          •      perform merger, acquisition, and sale or
              penjualan atau pemindahtanganan hak atas                              transfer the Company’s right of wealth.
              kekayaan Perusahaan. Penjualan/pelepasan                              Sales/disposal excluded for the Company’s
              dikecualikan untuk kegiatan usaha rutin                               routine      business    activities     (vehicle
              Perusahaan (peremajaan kendaraan);                                    rejuvenation);
       •      mengubah Anggaran Dasar Perusahaan;                            •      amend       the   Company’s       Articles    of
                                                                                    Association;
       •      mengikatkan diri sebagai penjamin (Jaminan                     •      bind itself as guarantor (Corporate
              Perusahaan) kepada pihak lain;                                        Guarantee) to other parties;
       •      melakukan pelunasan pinjaman pemegang                          •      settle due to shareholders or related parties;
              saham atau pihak berelasi;
       •      membagikan dividen selama jangka waktu                         •      distribute dividends within facility period;
              fasilitas;
       •      memperoleh pinjaman kredit baru dari pihak                     •      obtain new credit facility from other parties
              lain, kecuali untuk transaksi dagang yang                             except for ordinary trade transactions or
              lazim atau pinjaman subordinasi dari                                  subordinated loans from shareholders;
              pemegang saham;
       •      melakukan perluasan atau penyempitan usaha                     •      make a business expansion or regression that
              yang dapat mempengaruhi pengembalian                                  may affect the return of the amount owed to
              jumlah utang kepada Victoria;                                         Victoria;
       •      melakukan investasi lainnya yang tidak                         •      make other investments which are not in
              mempunyai hubungan dengan usaha yang                                  conformity with the Company’s business,
              dijalankan Perusahaan, kecuali investasi                              except the other investments which already
              lainnya yang telah ada saat ini;                                      exist;
       •      mengajukan      permohonan        pailit    atau               •      submit a bankruptcy or delay the debt
              penundaan pembayaran utang;                                           payment;
       •      mengalihkan      sebagian      atau      seluruh               •      transfer some or all the Company’s
              hak/kewajiban Perusahaan sesuai perjanjian                            rights/obligations    according    to    the
              kredit kepada pihak lain;                                             agreement;
       •      memberikan pinjaman kepada pihak lain.                         •      provide loans to other parties.

       Tidak ada rasio bank covenant yang diatur dalam                       There were no bank covenants ratio stipulated in
       perjanjian antara SGI dan Bank.                                       the agreement between SGI and the Bank.




                                                                 139
Page 144
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


13.   UTANG KLAIM                                                13.    CLAIMS PAYABLES

      Akun ini merupakan saldo utang klaim kepada                       This account represents claim liabilities to
      bengkel dan pemegang polis yang telah disetujui                   workshop and policyholders that have been
      pembayarannya dengan rincian sebagai berikut:                     approved for payment with details as follows:

      a.   Berdasarkan tertanggung                                      a.    By policyholder

                                      30 September/                31 Desember/
                                    September 30, 2024             December 31,
                                      (Tidak Diaudit/              2023 (Diaudit/
                                        Unaudited)                   Audited)
   PT Patra Drilling Contractor            1.200.258.373              2.861.165.523           PT Patra Drilling Contractor
   Australia Indonesia Partnership         1.005.887.968                                   Australia Indonesia Partnership
   PT Genting Plantations Nusantara          622.039.663                 754.075.770     PT Genting Plantations Nusantara
   PT NSK Bearings Manufacturing                                                          PT NSK Bearings Manufacturing
    Indonesia                                506.010.161                          -                             Indonesia
   PT Krakatau Sarana Properti               401.341.706                2.351.945.499        PT Krakatau Sarana Properti
   Toko Erica                                387.857.702                  375.099.471                           Toko Erica
   PT Pertamina Training                                                                            PT Pertamina Training
    Consultant                               384.374.337                1.341.986.243                          Consultant
   PT Ceria Utama Abadi                              -                  1.515.143.491               PT Ceria Utama Abadi
   PT Mulia Intanlestari                             -                    971.731.469                 PT Mulia Intanlestari
   PT Minamas Plantation Group                       -                  1.239.061.316       PT Minamas Plantation Group
   PT Altrak 1978                                    -                  1.516.203.735                       PT Altrak 1978
   PT Lautan Otsuka Chemical                         -                    915.028.807          PT Lautan Otsuka Chemical
   PT Metropolitan Televisindo                       -                  1.008.099.542         PT Metropolitan Televisindo
   PT Indonesia Epson Industry                                         12.767.472.594         PT Indonesia Epson Industry
    Manufacturing Indonesia                          -                  1.159.824.550           Manufacturing Indonesia
   PT Victoria Insurance Tbk                         -                 12.603.710.318           PT Victoria Insurance Tbk
   PT Bolltech Device                                                                                   PT Bolltech Device
    Protection Indonesia                             -                  3.493.164.275                Protection Indonesia
   PT Inconis Nusa Jaya                              -                  1.504.937.527                 PT Inconis Nusa Jaya
   Lain-lain (dibawah Rp 800 juta)        24.061.475.120               22.288.884.754        Others (below Rp800 million)
  Total                                   28.569.245.030               68.667.534.884                                  Total




                                                           140
Page 145
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


13.     UTANG KLAIM (Lanjutan)                                      13.    CLAIMS PAYABLES (Continued)

        b.   Berdasarkan umur                                              b.    By age category

                                        30 September/                 31 Desember/
                                      September 30, 2024              December 31,
                                        (Tidak Diaudit/               2023 (Diaudit/
                                          Unaudited)                    Audited)
       Pihak ketiga                                                                                                 Third Parties
       Belum jatuh tempo                     6.203.247.757                 6.537.452.435                               Not yet due
       Telah jatuh tempo:                                                                                                Overdue:
        1 - 30 hari                          5.427.570.611                 9.457.586.768                               1 - 30 days
        31 - 60 hari                         3.434.936.813                 7.877.297.147                              31 - 60 days
        Lebih dari 60 hari                  13.503.489.849                44.795.198.534                        More than 60 days
       Total                                28.569.245.030                68.667.534.884                                     Total

        c.   Berdasarkan mata uang                                         c.    By currency

                                        30 September/                31 Desember/
                                      September 30, 2024             December 31,
                                        (Tidak Diaudit/              2023 (Diaudit/
                                          Unaudited)                    Audited)
        Rupiah                              27.097.496.798             67.866.910.296                                    Rupiah
        Dolar Amerika Serikat                1.441.775.709                764.949.719                       United States Dollar
        Dolar Singapura                         29.972.523                 35.674.869                         Singapore Dollar
        Total                               28.569.245.030             68.667.534.884                                      Total

        d.   Berdasarkan jenis asuransi                                    d.    By type of insurance

                                        30 September/                31 Desember/
                                      September 30, 2024             December 31,
                                        (Tidak Diaudit/              2023 (Diaudit/
                                          Unaudited)                    Audited)
        Kesehatan                           22.291.004.389             62.493.913.599                                    Health
        Kendaraan bermotor                   3.159.594.007              1.026.908.330                             Motor vehicles
        Pengangkutan                           300.081.291                690.860.314                                     Cargo
        Kebakaran                            2.883.217.985                302.640.804                                      Fire
        Kecelakaan                              91.136.853                 95.720.186                                  Accident
        Rangka kapal                          (288.879.892)                64.289.348                               Marine hull
        Lain-lain                              133.090.397              3.993.202.303                                    Others
        Total                               28.569.245.030             68.667.534.884                                    Total

      Eksposur maksimum terhadap risiko likuiditas                    The maximum exposure to liquidity risk at the end
      pada akhir periode pelaporan adalah senilai jumlah              of the reporting date is the carrying value of each
      tercatat dari setiap kelas utang klaim sebagaimana              class of claims payable disclosed in Note 43.
      yang dijabarkan pada Catatan 43.




                                                              141
Page 146
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


14.   ESTIMASI KLAIM RETENSI SENDIRI                                  14.   ESTIMATED OWN RETENTION CLAIMS

      Terdiri atas:                                                         This account consists of:
                                       30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                         Bruto/               Reasuransi/                  Neto/
                                         Gross                Reinsurance                  Net
      Kebakaran                        28.836.119.332            (18.135.327.851)           10.700.791.481                     Fire
      Kendaraan bermotor               14.939.461.548                 (2.576.209)           14.936.885.339            Motor vehicles
      Kesehatan                         4.388.514.681             (3.655.944.407)              732.570.274                   Health
      Pengangkutan                     12.926.076.595             (8.753.776.143)            4.172.300.452                    Cargo
      Rangka kapal                     91.634.550.729            (82.203.209.647)            9.431.341.082              Marine hull
      Kecelakaan                        8.229.427.558             (4.454.225.003)            3.775.202.555                 Accident
      Lain-lain                       114.835.831.670           (106.814.149.267)            8.021.682.403                   Others
      Total                           275.789.982.113           (224.019.208.527)           51.770.773.586                     Total


                                             31 Desember/ December 31, 2023 (Diaudit/ Audited)
                                           Bruto/              Reasuransi/                  Neto/
                                           Gross              Reinsurance                   Net

      Kebakaran                       266.197.895.117           (246.479.129.832)           19.718.765.285                     Fire
      Kendaraan bermotor                8.778.680.409                (20.721.082)            8.757.959.327            Motor vehicles
      Kesehatan                        28.323.209.522            (26.355.316.940)            1.967.892.582                   Health
      Pengangkutan                     23.095.724.851            (19.557.058.697)            3.538.666.154                    Cargo
      Rangka kapal                     25.881.556.069            (21.406.054.467)            4.475.501.602              Marine hull
      Kecelakaan                        3.575.402.235               (143.528.118)            3.431.874.117                 Accident
      Lain-lain                        51.170.823.756            (45.691.197.271)            5.479.626.485                   Others
      Total                           407.023.291.959           (178.493.439.246)           47.370.285.552                     Total


      Estimasi klaim retensi sendiri termasuk klaim yang                    Estimated own retention claims include claims
      telah terjadi tetapi belum dilaporkan masing-                         incurred but not reported amounted to
      masing     sebesar    Rp    31.305.319.156     dan                    Rp 31,305,319,156 and Rp Rp 53,127,618,055 for
      Rp 53.127.618.055 untuk tahun-tahun yang                              the years ended September 30, 2024 and December
      berakhir pada tanggal 30 September 2024 dan 31                        31, 2023 , respectively.
      Desember 2023.

      Mutasi dari liabilitas neto estimasi klaim retensi                    Movement in net estimated own retention claims
      sendiri adalah sebagai berikut:                                       liabilities were as follows:

                                             30 September 2024     31 Desember 2023

                 Saldo awal                      47.370.285.552        25.100.473.595              Beginning balance
                 Kenaikan tahun berjalan          4.400.488.034        22.269.811.957            Increase for the year
                 Saldo akhir                     51.770.773.586        47.370.285.552                 Ending balance




                                                                142
Page 147
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


15.     PREMI YANG              BELUM       MERUPAKAN               15.   UNEARNED PREMIUMS
        PENDAPATAN

        Terdiri atas:                                                     This account consists of:

                                       30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                         Bruto/                Reasuransi/                 Neto/
                                         Gross                Reinsurance                   Net
      Kebakaran                       262.432.130.783         (190.208.111.793)          72.224.018.990                        Fire
      Kendaraan bermotor               69.037.299.283              (23.392.528)          69.013.906.755               Motor vehicles
      Kecelakaan                       40.786.681.061          (12.821.503.410)          27.965.177.651                      Health
      Kesehatan                        40.428.701.006          (30.731.049.975)           9.697.651.031                    Accident
      Rangka kapal                     74.004.198.361          (59.908.800.286)          14.095.398.075                 Marine hull
      Pengakutan                        8.633.945.659             (789.048.714)           7.844.896.945                       Cargo
      Lain-lain                        84.007.562.494          (66.529.835.254)          17.477.727.240                      Others
      Total                           579.330.518.647         (361.011.741.960)           218.318.776.687                      Total


                                            31 Desember/ December 31, 2023 (Diaudit/ Audited)
                                        Bruto/                Reasuransi/                  Neto/
                                         Gross               Reinsurance                   Net
      Kendaraan bermotor              254.488.148.866        (185.212.012.193)          69.276.136.673                Motor vehicles
      Kebakaran                        37.533.547.621             (64.358.052)          37.469.189.569                         Fire
      Kesehatan                        24.845.664.613          (4.746.046.005)          20.099.618.608                     Accident
      Kecelakaan                       37.510.929.879         (32.168.109.127)           5.342.820.752                       Health
      Pengakutan                       41.843.154.776         (35.830.039.780)           6.013.114.996                        Cargo
      Rangka kapal                           1.665.108                (698.625)                966.483                  Marine hull
      Lain-lain                        72.110.601.551         (60.711.474.596)          11.399.126.955                       Others
      Total                           468.333.712.414         (318.732.738.378)           149.600.974.036                      Total

        Mutasi dari premi yang belum merupakan                            Movement in unearned premiums are as follows:
        pendapatan neto adalah sebagai berikut:

                                            30 September 2024     31 Desember 2023

                  Saldo awal                  149.600.974.036        96.467.182.187             Beginning balance
                  Kenaikan tahun berjalan      68.717.802.651        53.133.791.849           Increase for the year
                  Saldo akhir                 218.318.776.687       149.600.974.036                 Ending balance




                                                              143
Page 148
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


16.   UTANG REASURANSI                                                16.    DUE TO REINSURANCE

      Akun ini merupakan saldo utang atas premi                              This account represents the outstanding balances
      reasuransi, dan komisi kepada pihak ketiga dengan                      of payables for reinsurance premiums and
      rincian sebagai berikut:                                               commissions to third parties with details as
                                                                             follows:

      a.   Berdasarkan reasuradur                                            a.    By reinsurer

                                           30 September/              31 Desember/
                                         September 30, 2024           December 31,
                                           (Tidak Diaudit/            2023 (Diaudit/
                                             Unaudited)                 Audited)
      PT Trinity Reinsurance                                                                            PT Trinity Reinsurance
       Brokers                               183.901.358.803           122.866.389.554                                Brokers
      PT Simas Reinsurance                                                                               PT Simas Reinsurance
       Brokers                                71.577.834.718            46.048.655.881                                Brokers
      PT Adhi Lintas Tanase                   46.440.169.321            14.047.189.594                   PT Adhi Lintas Tanase
      PCICL                                   35.660.172.224                       -                                    PCICL
      PT Aon Reinsurance Broker               17.544.973.336                       -                PT Aon Reinsurance Broker
      Bolltech Insurance                                                                                    Bolltech Insurance
       Company Limited                        16.207.317.277            32.387.837.105                      Company Limited
      PT Adonai Piala Reansuransi             10.100.212.917            18.664.081.662             PT Adonai Piala Reansuransi
      PT IBS Reinsurance Brokers               9.037.474.996             2.206.820.326                 PT IBS Reinsurance Brokers
      Pioneer Insurance & Reisurance                                                          Pioneer Insurance & Reisurance
       Brokers                                 8.307.396.737                          -                             Brokers
      Challenge Group Inc.                     6.937.489.625                6.418.328.358                Challenge Group Inc.
      PT Reasuransi Indonesia Utama            6.221.051.030                          -        PT Reasuransi Indonesia Utama
      PT Asuransi Jiwa Reliance                                                                     PT Asuransi Jiwa Reliance
       Indonesia                               3.931.635.388                6.985.499.757                          Indonesia
      PT Marsh Reisurance Broker                                                                 PT Marsh Reisurance Broker
       Indonesia                               5.884.158.126                                                      Indonesia
      PT Ping An Property and Casualty                                                      PT Ping An Property and Casualty
       Insurance Company of China              5.797.035.600                          -         Insurance Company of China
      PT Reasuransi Maipark                                                                            PT Reasuransi Maipark
       Indonesia                               5.494.307.884                3.992.873.518                          Indonesia
      PT Malakut Insurance Broker              4.534.766.942                          -          PT Malakut Insurance Broker
      PT Sedana Proteksi Sinergi               4.343.291.438                          -           PT Sedana Proteksi Sinergi
      PT Igna Asia Reinsurance                                                                       PT Igna Asia Reinsurance
       Brokers & Consultants                   2.747.167.355                3.065.892.976              Brokers & Consultants
      Arthur J. Gallagher                      2.578.272.827                          -                         Arthur J. Gallagher
      PT Victoria Alife Indonesia              2.128.135.546                          -             PT Victoria Alife Indonesia
      PT CBBDANH Pialang                                                                                    PT CBBDANH Pialang
       Reasuransi                                        -                  3.083.795.571                            Reasuransi
      PT IBU Reinsurance                                                                                     PT IBU Reinsurance
       Broker Utama                                      -              18.539.180.307                            Broker Utama
      PT Smartindo Pialang Reasuransi                    -               2.729.102.186           PT Smartindo Pialang Reasuransi
      PT Reasuransi Nasional Indonesia                   -                         -         PT Reasuransi Nasional Indonesia
      Lain-lain (masing-masing                                                                             Others (each below
       di bawah Rp 2 miliar)                 (95.770.915.777)           16.432.528.090                          Rp 2 million)
      Total                                  353.603.306.313           297.468.174.885                                   Total


                                                                144
Page 149
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                   AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                              INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                   FINANCIAL POSITION
Tanggal 30 September 2024                                                                               As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)


16.   UTANG REASURANSI (Lanjutan)                                        16.   DUE TO REINSURANCE (Continued)

      b.      Berdasarkan umur                                                 b.    By age category

                                         30 September/                    31 Desember/
                                       September 30, 2024                 December 31,
                                         (Tidak Diaudit/                  2023 (Diaudit/
                                           Unaudited)                       Audited)
       Pihak ketiga                                                                                                   Third Parties
       Belum jatuh tempo                      114.081.360.681              143.689.321.911                               Not yet due
       Telah jatuh tempo:                                                                                                  Overdue:
        1 - 30 hari                            73.516.378.256               69.603.952.196                               1 - 30 days
        31 - 60 hari                           22.402.542.377               25.071.168.786                              31 - 60 days
        Lebih dari 60 hari                    143.603.024.999               59.103.731.992                        More than 60 days
       Total                                  353.603.306.313              297.468.174.885                                     Total

      c.      Berdasarkan mata uang                                            c.    By currency

                                             30 September/                31 Desember/
                                           September 30, 2024             December 31,
                                             (Tidak Diaudit/              2023 (Diaudit/
                                               Unaudited)                    Audited)
           Rupiah Indonesia                    217.785.147.189             174.152.249.781                        Rupiah Indonesia
           Dollar AS                           132.054.178.038             121.959.762.342                                Dollar AS
           Dollar Singapore                      2.433.237.384                 548.315.562                        Dollar Singapore
           Yen Jepang                              109.383.657                  42.135.630                               Yen Jepang
           Euro                                    929.710.250                 759.969.573                                     Euro
           Yuan China                              267.462.641                         -                                Yuan China
           Swiss Franc                              13.672.647                         -                                Swiss Franc
           Dollar Australia                          1.070.243                   2.439.228                         Dollar Australia
           Poundsterling                               632.002                     316.164                            Poundsterling
           Baht Thailand                               290.427                     246.454                            Baht Thailand
           Ringgit Malaysia                          8.228.803                   1.875.426                         Ringgit Malaysia
           Krona Swedia                                 18.995                     864.725                            Krona Swedia
           Dolar Selandia Baru                         274.037                         -                         Dollar NewZealand
           Total                               353.603.306.313             297.468.174.885                                     Total

      d.      Berdasarkan jenis asuransi                                       d.    By type of insurance

                                             30 September/                31 Desember/
                                           September 30, 2024             December 31,
                                             (Tidak Diaudit/              2023 (Diaudit/
                                               Unaudited)                    Audited)
           Kebakaran                           217.544.667.922             155.548.318.750                                      Fire
           Rangka kapal                          65.233.347.278             31.404.752.873                               Marine hull
           Kesehatan                            (54.745.556.178)             3.240.691.904                                    Health
           Pengangkutan                          24.185.067.506             13.401.646.940                                    Cargo
           Kendaraan bermotor                       595.449.294             (1.163.329.912)                            Motor vehicles
           Kecelakaan                            10.073.249.269              8.104.117.598                                  Accident
           Lain-lain                             90.717.081.222             86.931.976.732                                    Others
           Total                               353.603.306.313             297.468.174.885                                    Total


                                                                   145
Page 150
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


17.    UTANG KOMISI                                                17.    COMMISSIONS PAYABLES

       a.    Berdasarkan pialang dan agen                                 a.    By broker and agent

                                        30 September/               31 Desember/
                                      September 30, 2024            December 31,
                                        (Tidak Diaudit/             2023 (Diaudit/
                                          Unaudited)                   Audited)
      PT Kalibesar Raya Utama               10.075.261.547            15.159.565.160                  PT Kalibesar Raya Utama
      PT Bolttech Device                                                                                   PT Bolttech Device
       Protection ndonesia                   5.303.350.331                3.351.625.380                   Protection ndonesia
      PT IBS Insurance Broking                                                                        PT IBS Insurance Broking
       Service                               3.687.189.903                  670.119.251                               Service
      PT Duta Semesta Raya                   2.968.107.974                2.422.512.247                  PT Duta Semesta Raya
      PT Marsh Indonesia                     4.486.441.562                4.841.505.448                    PT Marsh Indonesia
      PT Davindo Asa Abadi                   2.097.604.588                3.459.154.764                  PT Davindo Asa Abadi
      PT Talisman Insurance                                                                             PT Talisman Insurance
       Brokers                               1.398.380.648                3.712.726.544                               Brokers
      PT Sedana Pasifik Servistama           1.348.703.916                          -
      PT Briliant Insurance Brokers          1.150.664.877                          -
      PT Mitra Harmoni                                                                                      PT Mitra Harmoni
       Insurance Broker                       811.391.099                 1.054.532.314                     Insurance Broker
      PT Griya Bhakti Pratama                 836.267.482                 1.037.944.756               PT Griya Bhakti Pratama
      PT Goesaff Manunggal                                                                              PT Goesaff Manunggal
       Sejahtera                              526.512.683                  877.987.174                             Sejahtera
      PT Indosurance Broker                                                                             PT Indosurance Broker
       Utama                                           -                  1.122.228.196                                Utama
      Lain-lain (masing-masing                                                                                  Others (below
       Rp 1 milliar)                        19.753.415.913               15.102.245.126                          Rp 1 billion)
      Total                                 54.443.292.523               52.812.146.360                                   Total


       b.    Berdasarkan umur                                             b.    By age category

                                        30 September/               31 Desember/
                                      September 30, 2024            December 31,
                                        (Tidak Diaudit/             2023 (Diaudit/
                                          Unaudited)                  Audited)
      Pihak ketiga                                                                                                 Third Parties
      Belum jatuh tempo                     28.653.463.865               27.872.998.784                               Not yet due
      Telah jatuh tempo:                                                                                                Overdue:
       1 - 30 hari                           4.558.587.212                4.998.527.423                               1 - 30 days
       31 - 60 hari                          2.160.166.860                3.883.006.345                              31 - 60 days
       Lebih dari 60 hari                   19.071.074.586               16.057.613.808                        More than 60 days
      Total                                 54.443.292.523               52.812.146.360                                     Total




                                                             146
Page 151
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


17.   UTANG KOMISI (Lanjutan)                                    17.   COMMISSIONS PAYABLES (Continued)


      c.   Berdasarkan mata uang                                       c.    By currency

                                      30 September/               31 Desember/
                                    September 30, 2024            December 31,
                                      (Tidak Diaudit/             2023 (Diaudit/
                                        Unaudited)                   Audited)
       Rupiah Indonesia                   39.866.534.346            32.290.527.196                         Rupiah Indonesia
       US Dollar                          14.086.059.831            20.163.151.256                                US Dollar
       Euro                                   99.550.363               243.118.164                                     Euro
       Singapore Dollar                      268.591.885                84.912.139                         Singapore Dollar
       Chinese Yuan                           93.362.882                18.298.182                             Chinese Yuan
       Japan Yen                              25.397.433                10.384.596                                Japan Yen
       Malaysian Ringgit                       2.494.223                   884.761                         Malaysian Ringgit
       Australian Dollar                         482.559                   131.684                         Australian Dollar
       British Pound                             387.741                   209.456                            British Pound
       Thailand Baht                             274.563                   182.843                            Thailand Baht
       Swiss Franc                               156.697                   160.846                              Swiss Franc
       Swedish Krona                                 -                     185.237                           Swedish Krona
       Total                              54.443.292.523            52.812.146.360                                     Total

      d.   Berdasarkan jenis asuransi                                  d.    By type of insurance

                                      30 September/               31 Desember/
                                    September 30, 2024            December 31,
                                      (Tidak Diaudit/             2023 (Diaudit/
                                        Unaudited)                   Audited)
      Kebakaran                           21.163.861.872            21.829.105.204                                       Fire
      Kesehatan                            2.237.039.409             6.291.562.854                                     Health
      Rangka kapal                         6.798.092.772             3.904.376.557                                Marine hull
      Kendaraan bermotor                   3.295.321.543             1.781.539.295                              Motor vehicles
      Pengangkutan                         6.143.195.261             6.271.344.077                                      Cargo
      Kecelakaan                           5.678.479.719             1.468.855.670                                   Accident
      Lain-lain                            9.127.301.947            11.265.362.703                                     Others
      Total                               54.443.292.523            52.812.146.360                                     Total

      Eksposur maksimum terhadap risiko likuiditas                     The maximum exposure to liquidity risk at the end
      pada akhir periode pelaporan adalah senilai jumlah               of the reporting date is the carrying value of each
      tercatat dari setiap kelas utang komisi                          class of commissions payables disclosed in Note 43.
      sebagaimana yang dijabarkan pada Catatan 43.




                                                           147
Page 152
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


18.   UANG JAMINAN PELANGGAN                                      18.   CUSTOMER SECURITY DEPOSITS

      Terdiri dari:                                                     Consist of:

                                             30 September/              31 Desember/
                                           September 30, 2024           December 31,
                                             (Tidak Diaudit/            2023 (Diaudit/
                                               Unaudited)                  Audited)
          PT Pada Semesta Utama                  16.100.504.058           16.100.504.058                 PT Pada Semesta Utama
          PT Anugrah Makmur Logistik              6.714.750.000            6.714.750.000            PT Anugrah Makmur Logistik
          PT Anugerah Covindo                                                                              PT Anugerah Covindo
           Indonesia                             6.345.214.455            22.035.370.000                               Indonesia
          PT Aneka Kuliner Raya                                                                          PT Aneka Kuliner Raya
           - Head Office                           286.006.000                 54.874.000                          - Head Office
          PT Ragam Indah Tara                      174.098.000                174.098.000                  PT Ragam Indah Tara
          CV Arafa Media Transportasi              170.369.000                        -                PT Amanat Perkasa Speed
          PT Tapanuli Logistik Indonesia           120.010.000                120.010.000          PT Tapanuli Logistik Indonesia
          PT Rizky Indra Transindo                 102.447.500                        -                 PT Rizky Indra Transindo
          PT Tunas Mendayung Group                                                                  PT Tunas Mendayung Group
           - Head Office                             5.560.000                221.061.000                          - Head Office
          Lain-Lain (masing-masing                                                                         Others (each below
           dibawah Rp 100 juta)                    592.074.000               324.495.000                     Rp 100 billion)
          Total                                 30.611.033.013            45.745.162.058                                     Total

      Akun ini merupakan uang jaminan yang diterima                     This account represents security deposits received
      dari pelanggan sebagai jaminan atas sewa                          from customers as security for vehicle rental
      kendaraan selama masa sewa kendaraan.                             during the vehicle rental period.




                                                           148
Page 153
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                    AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                               INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                    FINANCIAL POSITION
Tanggal 30 September 2024                                                                                As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                    (Expressed in Rupiah, unless otherwise stated)


19.   PERPAJAKAN                                                         19.    TAXATION

      a.       Pajak Dibayar Dimuka                                             a.    Prepaid Taxes
                                              30 September/               31 Desember/
                                            September 30, 2024            December 31,
                                              (Tidak Diaudit/             2023 (Diaudit/
                                                Unaudited)                  Audited)
      Tagihan pajak penghasilan                   1.889.715.296                 99.902.957                        Claim fot tax refund
      Pajak pertambahan nilai                                                                                       Value Added Tax
       masukan                                              -                  7.704.919.666
      Total                                       1.889.715.296                7.804.822.623                                    Total

      b.       Utang Pajak                                                      b.    Tax Payables
                                              30 September/              31 Desember/
                                            September 30, 2024           December 31,
                                              (Tidak Diaudit/            2023 (Diaudit/
                                                Unaudited)                 Audited)
           Entitas Induk                                                                                              Parent Entity
           Pajak Penghasilan:                                                                                        Income Taxes:
            Pasal 21                                 70.524.029                172.901.956                              Article 21
            Pasal 4(2)                               15.125.487                    620.530                             Article 4(2)
            Pasal 23                                    276.264                 18.276.273                              Article 23
            Pasal 26                              4.838.721.560                        -
            Pasal 29                                        -                   80.928.600
           Subtotal                               4.924.647.340                272.727.359                                Subtotal
           Entitas Anak                                                                                               Subsidiaries
           Pajak Penghasilan:                                                                                       Income Taxes:
            Pasal 4(2)                               44.814.978               112.814.884                             Article 4(2)
            Pasal 21                              1.192.187.467             1.789.452.200                              Article 21
            Pasal 23                                547.780.971               366.396.964                              Article 23
            Pasal 25                                727.927.320             2.046.196.565                              Article 25
            Pasal 29                                        -               8.304.849.447                              Article 29
           Pajak Pertambahan Nilai - neto         3.263.828.490             2.112.860.824                   Value Added Tax - net
           Subtotal                               5.776.539.226            14.732.570.884                                Subtotal
           Total                                 10.701.186.566            15.005.298.243                                   Total

      c.       Manfaat (Beban) Pajak Penghasilan                                c.    Income Tax Benefit (Expenses)

                                              30 September/              31 Desember/
                                            September 30, 2024           December 31,
                                              (Tidak Diaudit/            2023 (Diaudit/
                                                Unaudited)                 Audited)
           Entitas Induk                                                                                             Parent Entity
           Pajak kini                                       -                  (109.632.600)                           Current tax
           Pajak tangguhan                                  -                    53.078.690                           Deferred tax
           Subtotal                                         -                   (56.553.910)                              Subtotal

           Entitas Anak                                                                                              Subsidiaries
           Pajak kini                           (28.366.319.611)          (50.678.053.177)                            Current tax
           Pajak tangguhan                         (338.292.132)            3.454.590.398                           Deferred tax
           Subtotal                             (28.704.611.743)          (47.223.462.779)                              Subtotal
           Beban Pajak Penghasilan              (28.704.611.743)          (47.166.908.869)                   Income Tax Expense

                                                                   149
Page 154
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


19.   PERPAJAKAN (Lanjutan)                                       19.   TAXATION (Continued)

      d.   Administrasi Pajak (Lanjutan)                                d.    Tax Administration (Continued)

           Perubahan Tarif Pajak Perusahaan                                   Changes in Corporate Tax Rate

           Pada bulan Oktober 2021, Pemerintah                                In October 2021, the Government of
           Indonesia mengesahkan Undang-Undang No. 7                          Indonesia approved the Law No. 7 Year 2021
           Tahun 2021 (UU No.7/2021) tentang                                  (Law No.7/2021) related to harmonisation of
           harmonisasi peraturan perpajakan. Beberapa                         tax regulations. Some purposes of Law
           tujuan UU No.7/2021 adalah untuk                                   No.7/2021 are to increase sustainable
           meningkatkan pertumbuhan perekonomian                              economic     growth    and      support   the
           yang berkelanjutan dan mendukung percepatan                        acceleration of economic recovery, realize a
           pemulihan ekonomi, mewujudkan sistem                               tax system that is more just with legal
           perpajakan yang lebih berkeadilan dan                              certainty, implement administrative reforms,
           berkepastian hukum, melaksanakan reformasi                         consolidated taxation policies, and expansion
           administrasi, kebijakan perpajakan yang                            of the tax base, as well as increasing
           konsolidatif, dan perluasan basis pajak, serta                     Taxpayer voluntary compliance.
           meningkatkan kepatuhan sukarela Wajib Pajak.

           Sejumlah perubahan peraturan perpajakan                            Some changes in tax regulations from the
           yang terjadi dengan penerapan UU No.7/2021                         implementation of Law No.7/2021, among
           antara lain adalah sebagai berikut:                                others, are as follows:

           a.   Pemberlakuan tarif pajak penghasilan                          a.     The application of the corporate income
                badan menjadi 22% mulai Tahun Pajak                                  tax rate to 22% starting from the 2022
                2022, dan Perusahaan Terbuka dalam                                   Fiscal Year, and for domestic public
                negeri yang memenuhi kriteria tertentu                               listed companies that fulfill certain
                dapat memperoleh tarif pajak sebesar                                 additional criteria will be eligible for a
                3% lebih rendah dari tarif pajak yang                                tax rate which is lower by 3% from the
                disebutkan di atas;                                                  abovementioned tax rate;

           b.   Kenaikan tarif PPN dari 10% menjadi                           b.     VAT rate increase from 10% to 11%
                11% yang mulai berlaku 1 April 2022,                                 which will take effect on April 1, 2022,
                kemudian menjadi 12% yang mulai                                      then to 12% which will take effect no
                berlaku paling lambat pada tanggal                                   later than January 1, 2025;
                1 Januari 2025;

           c.   Penyederhanaan PPN dengan tarif final                         c.     Simplification of VAT using final rate
                untuk barang atau jasa kena pajak                                    for certain taxable goods or services
                tertentu yang juga berlaku mulai                                     which also applies from April 1, 2022;
                1 April 2022;

           d.   Program pengungkapan sukarela bagi                            d.     Voluntary disclosure program for
                Wajib Pajak badan selama periode                                     corporate taxpayers for the period
                1 Januari - 30 Juni 2022, dengan basis                               January 1 - June 30, 2022, on the basis
                aset atau harta yang diperoleh selama                                of      assets    acquired      during
                1 Januari 1985 - 31 Desember 2015                                    January 1, 1985 - December 31, 2015
                yang belum diungkap pada saat                                        which were not disclosed when
                mengikuti program amnesti pajak                                      participating in the previous tax
                sebelumnya.                                                          amnesty program.


                                                            150
Page 155
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


20.   SEWA                                                        20.   LEASES

      Sebagai pesewa                                                    As lessor

      BPT                                                               BPT

      Entitas Anak (BPT) melakukan sewa operasi atas                    Subsidiary Entity (BPT) has entered into operating
      aset tetap yang terdiri atas kendaraan. Sewa ini                  leases on its property and equipment consisting of
      berjangka waktu antara 1-5 tahun. Grup mengakui                   vehicles. These leases have terms between 1-5
      pendapatan sewa pada tanggal 30 September 2024                    years. Rental income recognized by the Group for
      dan       2023       masing-masing        sebesar                 the years ended September 30, 2024 and 2023
      Rp 110.763.770.711 dan Rp 215.957.063.120 .                       amounted      to    Rp    110,763,770,711     and
                                                                        Rp 215,957,063,120, respectively.

      Sebagai penyewa                                                   As lessee

      Grup memiliki kontrak sewa untuk gedung kantor                    The Group has lease contracts for office buildings
      dan kendaraan yang digunakan dalam operasinya.                    and vehicles used in its operations. Office buildings
      Gedung kantor memiliki jangka waktu sewa 2-4                      have lease terms of 2-4 years with no restrictions
      tahun tanpa batasan atau perjanjian yang                          or covenants imposed and includes extension and
      diberlakukan dan mencakup opsi perpanjangan dan                   termination options. Vehicles have lease terms of
      pemutusan hubungan kerja. Kendaraan memiliki                      3-4 years. As at September 30, 2024 and December
      jangka waktu sewa 3-4 tahun. Pada tanggal                         31, 2023, the carrying amounts of right-of-use
      30 September 2024 dan 31 Desember 2023, nilai                     assets amounted to Rp 554,724,895,122 and Rp
      tercatat aset hak-guna masing-masing sebesar Rp                   595,720,396,666, respectively.
      554.724.895.122 dan Rp 595.720.396.666.

      Perubahan liabilitas sewa yang diakui dalam laporan               Movement of lease liabilities recognized in the
      posisi     keuangan       konsolidasian     tanggal               consolidated statement of financial position as at
      30 September 2024 dan 31 Desember 2023 adalah                     September 30, 2024 and December 31, 2023 are as
      sebagai berikut:                                                  follows:

                                        30 September/              31 Desember/
                                      September 30, 2024           December 31,
                                        (Tidak Diaudit/            2023 (Diaudit/
                                          Unaudited)                  Audited)
       Saldo awal                         493.226.635.609           669.204.407.613                       Beginning Balance
       Penambahan                           40.010.108.735           26.901.054.185                                Additions
       Penambahan bunga                     28.334.079.416           44.916.137.614                      Accretion of interest
       Pengurangan                          (5.091.965.877)                     -
       Pengukuran Kembali                       51.144.642                      -
       Pembayaran                                                                                                  Payments
        Pokok                             (87.254.970.969)         (202.878.826.189)                              Principal
        Bunga                             (28.513.835.937)          (44.916.137.614)                                Interest
       Saldo Akhir                        440.761.195.619           493.226.635.609                          Ending Balance
       Lancar                             181.954.531.836           134.595.788.736                                  Current
       Tidak lancar                       258.806.663.783           358.630.846.873                             Non-current
       Total                              440.761.195.619           493.226.635.609                                    Total




                                                            151
Page 156
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


20.   SEWA (Lanjutan)                                            20.    LEASES (Continued)

      Sebagai penyewa (Lanjutan)                                        As lessee (Continued)

      Penambahan liabilitas sewa berasal dari perjanjian                The addition to lease liabilities comes from a new
      aset sewa baru pada periode berjalan yang                         lease asset agreement in the current period that
      memenuhi kriteria untuk diakui sebagai aset hak-                  meets the criteria to be recognized as a right-of-use
      guna.                                                             asset.

      Rincian liabilitas sewa berdasarkan pesewa adalah                 The detail of lease liabilities by lessor are as
      sebagai berikut:                                                  follows:

                                       30 September/              31 Desember/
                                     September 30, 2024           December 31,
                                       (Tidak Diaudit/            2023 (Diaudit/
                                         Unaudited)                 Audited)
      Pihak ketiga
       PT Dipo Star Finance              379.272.675.311           413.695.170.181                   PT Dipo Star Finance
       PT Toyota Astra Financial                                                                 PT Toyota Astra Financial
        Service                           23.773.684.318               29.972.302.986                             Service
       PT Orico Balimor Finance                                                                  PT Orico Balimor Finance
        (sebelumnya PT Mizuho                                                                     (sebelumnya PT Mizuho
        Balimor Finance)                  15.621.329.612               18.311.702.925                   Balimor Finance)
       PT Astra Sedaya Finance            10.752.079.148               12.808.685.245             PT Astra Sedaya Finance
       PT Duta Anggada Realty Tbk          8.847.778.866               10.026.903.875         PT Duta Anggada Realty Tbk
       PT Mandiri Tunas Finance            1.469.123.887                4.538.054.352           PT Mandiri Tunas Finance
       PT Hino Finance Indonesia             563.836.160                  678.695.096           PT Hino Finance Indonesia
       PT Arthaasia Finance                  372.686.190                  672.281.294                PT Arthaasia Finance
       PT Mitsui Leasing Capital                                                                 PT Mitsui Leasing Capital
         Indonesia                            88.002.127                 891.629.655                          Indonesia
       PT Clipan Finance Indonesia                                                            PT Clipan Finance Indonesia
         Tbk                                         -               1.631.210.000                                  Tbk
      Total                              440.761.195.619           493.226.635.609                                   Total



      Liabilitas sewa yang diperoleh Grup dari                          Lease liabilities obtained by the Group from
      PT Orico Balimor Finance (sebelumnya                              PT      Orico     Balimor     Finance (formerly
      PT Mizuho Balimor Finance) dijaminkan dengan                      PT Mizuho Balimor Finance) had been guaranteed
      jaminan Grup oleh Malacca Trust Pte. Ltd.,                        by corporate guarantee from Malacca Trust Pte.
      Singapura, pemegang saham.                                        Ltd., Singapore, shareholder.




                                                           152
Page 157
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


21.   LIABILITAS IMBALAN KERJA                                    21.   EMPLOYEE BENEFITS LIABILITIES

      Grup memberikan imbalan untuk karyawannya                         The Group provides benefits for its employees who
      yang telah mencapai usia pensiun yaitu 55-60 tahun                has reached the retirement age of 55-60 based on
      sesuai dengan Peraturan Pemerintah No. 35 Tahun                   the provisions of Government Regulation Number
      2021 (PP 35/2021) yang menerapkan pengaturan                      35 Year 2021 (PP 35/2021) that implement the
      Perppu No. 2/2022 tentang Cipta Kerja pada tahun                  provisions of Perppu No. 2/2022 on Job Creation
      2022 dan Undang-undang No.11/2020 tentang                         in 2022 and Law No. 11/2020 on Job Creation in
      Cipta Kerja pada tahun 2021. Liabilitas imbalan                   2021. The employee benefits liability is unfunded.
      kerja tersebut tidak didanai.

      Perhitungan aktuaria atas imbalan kerja pada tahun                As at December 31, 2023, actuarial valuation
      2023 , dilakukan oleh KKA Tubagus Syarifal,                       report on the employee benefits was from KKA
      aktuaris independen, dengan menggunakan metode                    Tubagus Syarifal, independent actuary, using the
      “Projected Unit Credit”, dalam laporannya                         Projected Unit Credit method, as follows:
      tertanggal sebagai berikut:

                                         31 Desember/ December 31, 2023
                                                (Diaudit/ Audited)
                            MTWI         19 Januari 2024/ January 19, 2024                       MTWI
                            BPAM         18 Januari 2024/ January 18, 2024                       BPAM
                            BPT          31 Januari 2024/ January 31, 2024                        BPT
                            BPI          18 Januari 2024/ January 18, 2024                         BPI

      Pada tanggal 31 Desember 2023, jumlah karyawan                    In December 31, 2023 , total employees who are
      yang berhak atas imbalan kerja diatas sebanyak                    entitled to these benefits are 380.
      380.

      Jumlah liabilitas imbalan kerja pada laporan posisi               The amount of employee benefits liabilities
      keuangan konsolidasian adalah sebagai berikut:                    presented in the consolidated statement of financial
                                                                        position is as follows:

                                        30 September/              31 Desember/
                                      September 30, 2024           December 31,
                                        (Tidak Diaudit/            2023 (Diaudit/
                                          Unaudited)                 Audited)
      Nilai kini liabilitas imbalan                                                                          Present value of
       pasti                               36.920.637.605          37.440.785.582                   defined benefit obligation




                                                            153
Page 158
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


21.    LIABILITAS IMBALAN KERJA (Lanjutan)                          21.    EMPLOYEE              BENEFITS              LIABILITIES
                                                                           (Continued)

       Rincian beban imbalan kerja yang diakui dalam                       The details of employee benefits expense
       laporan laba rugi konsolidasian adalah sebagai                      recognized in the consolidated statement of profit
       berikut:                                                            or loss are as follows:

                                          30 September/              31 Desember/
                                        September 30, 2024           December 31,
                                          (Tidak Diaudit/            2023 (Diaudit/
                                            Unaudited)                 Audited)
         Biaya jasa kini                      2.231.000.000             4.527.869.382                      Current service cost
         Biaya bunga                                     -              2.209.267.991                             Interest cost
         Total                                2.231.000.000             6.737.137.373                                    Total

       Rincian beban (penghasilan) imbalan kerja yang                      The detail of employee benefit expense (income)
       diakui dalam penghasilan komprehensif lain adalah                   recognized in the other comprehensive income are
       sebagai berikut:                                                    as follows:

                                          30 September/              31 Desember/
                                        September 30, 2024           December 31,
                                          (Tidak Diaudit/            2023 (Diaudit/
                                            Unaudited)                 Audited)
        Pengukuran kembali:                                                                                   Remeasurements
         Dampak penyesuaian                                                                              Effect of experience
           Pengalaman                                   -                 1.052.519.889                             djustments
         Dampak perubahan                                                                         Effect of change in financial
          asumsi keuangan                               -                 (3.799.656.598)                         assumptions
        Total                                           -                 (2.747.136.709)                                 Total

       Mutasi liabilitas imbalan kerja adalah sebagai                      Movements of employee benefits liabilities are as
       berikut:                                                            follows:

                                         30 September/                31 Desember/
                                       September 30, 2024             December 31,
                                         (Tidak Diaudit/              2023 (Diaudit/
                                           Unaudited)                    Audited)
      Saldo awal                             37.440.785.583             33.635.584.919                       Beginning balance
      Beban tahun berjalan                    2.231.000.000              6.737.137.373                 Expense during the year
      Kerugian aktuarial diakui                                                                     Actuarial loss recognized in
       pada penghasilan komprehensif                                                              other comprehensive income
       lain                                            -                  (2.747.136.709)
      Pembayaran imbalan tahun                                                                           Actual benefits payment
       berjalan                             (2.751.147.977)                 (184.800.000)                        during the year
      Total                                 36.920.637.606                37.440.785.583                                   Total




                                                              154
Page 159
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


21.   LIABILITAS IMBALAN KERJA (Lanjutan)                             21.   EMPLOYEE               BENEFITS              LIABILITIES
                                                                            (Continued)

      Asumsi-asumsi aktuarial utama yang digunakan                          Principal actuarial assumptions used in the
      dalam perhitungan imbalan kerja adalah sebagai                        valuation of the employee benefits are as follows:
      berikut:

                                             30 September/              31 Desember/
                                           September 30, 2024           December 31,
                                             (Tidak Diaudit/            2023 (Diaudit/
                                               Unaudited)                 Audited)
       Tingkat diskonto per tahun                7,06%                      7,06%                      Discount rate per annum
       Kenaikan gaji rata-rata per tahun     1,00% - 10,00%            1,00% - 10,00%              Salary increase rate per year
       Usia pensiun normal                       55 - 60                   55 - 60                          Normal pension age
       Tingkat mortalitas                     TMI IV 2019                TMI IV 2019                              Mortality rate
       Tingkat cacat                         10% dari tingkat          10% dari tingkat                          Disability rate
                                                mortalitas/               mortalitas/
                                              mortality rate             mortality rate

      Sensitivitas liabilitas imbalan pasti terhadap                        The sensitivity of the defined benefit obligation as
      perubahan asumsi utama tertimbang pada tanggal                        at December 31, 2023 to changes in the weighted
      31 Desember 2023 adalah:                                              principal assumptions is:

                                                   Dampak terhadap liabilitas imbalan pasti/
                                                     Impact on defined benefit obligation

                                     Perubahan asumsi/       Kenaikan asumsi/         Penurunan asumsi/
                                    Change in assumption       Increase in               Decrease in
                                                               assumption                assumption

      Tingkat diskonto                     1,00%           Turun/Decrease 6,37%       Naik/Increase 7,18%             Discount rate
      Tingkat kenaikan gaji                1,00%            Naik/Increase 7,22%      Turun/Decrease 6,52%        Salary growth rate

      Analisa sensitivitas didasarkan pada perubahan atas                   The sensitivity analyses are based on a change in
      satu asumsi aktuaria dimana asumsi lainnya                            an assumption while holding all other assumptions
      dianggap konstan. Dalam prakteknya, hal ini jarang                    constant. In practice, this is unlikely to occur, and
      terjadi dan perubahan beberapa asumsi mungkin                         changes in some of the assumptions may be
      saling berkorelasi. Dalam perhitungan sensitivitas                    correlated. When calculating the sensitivity of the
      kewajiban imbalan pasti atas asumsi aktuaria                          defined benefit obligation to significant actuarial
      utama, metode yang sama (perhitungan nilai kini                       assumptions, the same method (present value of the
      kewajiban imbalan pasti dengan menggunakan                            defined benefit obligation calculated with the
      metode projected unit credit di akhir periode) telah                  projected unit credit method at the end of the
      diterapkan seperti dalam penghitungan kewajiban                       reporting period) has been applied as when
      pensiun yang diakui dalam laporan posisi keuangan                     calculating the pension liability recognized within
      konsolidasian.                                                        the consolidated statement of financial position.




                                                                155
Page 160
                                                                         The original consolidated financial statements included herein are in
                                                                                                                          Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


22.   MODAL SAHAM                                                       22.   SHARE CAPITAL
      Pada tahun 2023, Entitas Induk telah membeli                            In 2023, the Parent Entity has repurchased a total
      kembali sebanyak 1.493.000 saham miliknya                               of 1,493,000 of its own shares with a par value
      dengan nilai nominal sebesar Rp 1.493.000.000                           amounting to Rp 1,493,000,000 for a total cost of
      dengan total biaya sebesar Rp 16.086.000.000.                           Rp 16,086,000,000.
      Pada tahun 2022, Entitas Induk telah membeli                            In 2022, the Parent Entity has repurchased a total
      kembali sebanyak 42.286.500 saham miliknya                              of 42.286.500 of its own shares with a par value
      dengan nilai nominal sebesar Rp 42.286.500.000                          amounting to Rp 42.286.500.000 for a total cost of
      dengan total biaya sebesar Rp 385.861.440.000.                          Rp 385.861.440.000.
      Berdasarkan akta Notaris No. 50 tanggal                                 Based on Notarial Deed No. 50 dated July 7, 2022
      7 Juli 2022, yang dibuat Notaris Christina Dwi                          of Christina Dwi Utami, S.H.,M.Hum., M.Kn.,
      Utami, S.H.,M.Hum., M.Kn., Notaris di Jakarta                           Notary in Jakarta Barat, the Parent Entity has
      Barat, Entitas Induk telah menyetujui penarikan                         approved the retirement of 46,726,000 shares from
      46.726.000 lembar saham hasil pembelian kembali                         the share buyback (treasury shares) with total cost
      saham (saham treasuri) dengan total biaya                               Rp 300,548,866,200, thereby reducing the issued
      Rp 300.548.866.200, sehingga menurunkan modal                           and paid-up capital Rp 56,222,466,200 to
      ditempatkan dan disetor dari semula sebesar                             Rp 51,549,866,200.
      Rp      56.222.466.200      menjadi      sebesar
      Rp 51.549.866.200.
      Pada tanggal 15 Mei 2024, telah dilakukan                               In May 15, 2024 , the company has been
      pendistribusian saham Perseroan dengan nilai                            distributed share with a new nominal value
      nominal baru hasil pemecahan saham sebesar Rp                           resulting from stock split with amount of Rp 5.-
      5,- /saham (semula Rp 100,-/saham) dan juga                             /share (before Rp 100.-/share) and starting trading
      dimulainya perdagangan saham Perseroan dengan                           of the Company’s shares with new nominal value,
      nilai nominal baru dimana hal ini telah mendapat                        which has received approval from the Company’s
      persetujuan Pemegang Saham Perseroan dengan                             Shareholders with based on Notarial Deed No. 95
      adanya Akta Notaris Nomor 95 Tanggal 16 April                           dated April 16, 2024 of Christina Dwi Utami, SH.,
      2024 yang dibuat oleh Notaris Christina Dwi                             M. Hum., M.Kn.
      Utami, S.H., M.Hum., M.Kn.
      Rincian pemegang saham Entitas Induk berikut                            The details of shareholders of the Parent Entity
      dengan      kepemilikannya   pada      tanggal                          with their ownership as at September 30, 2024
      30 September 2024 (setelah pemecahan saham)                             (after stocksplit) based on the record maintained by
      berdasarkan catatan yang dikelola oleh PT                               PT Adimitra Jasa Korpora, the Securities
      Adimitra Jasa Korpora, Biro Administrasi Efek,                          Administration Agency, are as follows:
      adalah sebagai berikut:
                                          30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
           Pemegang Saham/                     Total Saham/              Presentase Pemilikan/                     Total Modal Saham/
             Shareholders                   Number of Shares            Percentage of Ownership                    Total Share Capital
 Malacca Trust Pte, Ltd.,
  Singapura/ Singapore                            8.881.734.000                                  86,15%                     44.408.670.000
 Rudy Johansen, Komisaris/ Commissioner               1.808.000                                   0,02%                          9.040.000
 Masyarakat (masing-masing dibawah 5%)/
  Public (each below 5%)                          1.000.611.240                                    9,71%                     5.003.056.200
 Total saham beredar/ Total shares
  outstanding                                     9.884.153.240                                  95,87%                     49.420.766.200
 Saham Treasuri/ Treasury Shares                    425.820.000                                   4,13%                      2.129.100.000
 Total/Total                                     10.309.973.240                                 100,00%                     51.549.866.200

                                                                  156
Page 161
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


22.     MODAL SAHAM (Lanjutan)                                         22.   SHARE CAPITAL (Continued)
        Rincian pemegang saham Entitas Induk berikut                         The details of shareholders of the Parent Entity
        dengan      kepemilikannya   pada      tanggal                       with their ownership as at December 31, 2023
        31 Desember 2023 (sebelum pemecahan saham)                           (before stocksplit) based on the record maintained
        berdasarkan catatan yang dikelola oleh PT                            by PT Adimitra Jasa Korpora, the Securities
        Adimitra Jasa Korpora, Biro Administrasi Efek,                       Administration Agency, are as follows:
        adalah sebagai berikut:
                                                31 Desember/ December 31, 2023 (Diaudit/ Audited)
                Pemegang Saham/                     Total Saham/          Presentase Pemilikan/                 Total Modal Saham/
                  Shareholders                   Number of Shares       Percentage of Ownership                 Total Share Capital

      Malacca Trust Pte, Ltd.,
       Singapura/ Singapore                              444.086.700                      86,14701%                      44.408.670.000
      Rudy Johansen, Komisaris/ Commissioner                 120.700                       0,02341%                          12.070.000
      Masyarakat (masing-masing dibawah 5%)/
       Public (each below 5%)                             50.000.262                       9,69940%                       5.000.026.200
      Total saham beredar/ Total shares
       outstanding                                       494.207.662                      95,86982%                      49.420.766.200
      Saham Treasuri/ Treasury Shares                     21.291.000                       4,13018%                       2.129.100.000
      Total/Total                                        515.498.662                            100%                     51.549.866.200

      Rincian pemegang saham Entitas Induk berikut                             The details of shareholders of the Parent
      dengan       kepemilikannya       pada     tanggal                       Entity with their ownership as at December
      31 Desember 2023 (setelah pemecahan saham)                               31, 2023 (after stocksplit) based on the
      berdasarkan catatan yang dikelola oleh PT Adimitra                       record maintained by PT Adimitra Jasa
      Jasa Korpora, Biro Administrasi Efek, adalah                             Korpora, the Securities Administration
      sebagai berikut:                                                         Agency, are as follows:
                                               31 Desember/ December 31, 2023 (Diaudit/ Audited)
              Pemegang Saham/                      Total Saham/          Presentase Pemilikan/                  Total Modal Saham/
                Shareholders                    Number of Shares       Percentage of Ownership                  Total Share Capital

 Malacca Trust Pte, Ltd.,
  Singapura/ Singapore                                8.881.734.000                      86,14701%                       44.408.670.000
 Rudy Johansen, Komisaris/ Commissioner                   2.414.000                       0,02341%                           12.070.000
 Masyarakat (masing-masing dibawah 5%)/
  Public (each below 5%)                              1.000.005.240                        9,69940%                        5.000.026.200
 Total saham beredar/ Total shares
  outstanding                                         9.884.153.240                      95,86982%                       49.420.766.200
 Saham Treasuri/ Treasury Shares                        425.820.000                       4,13018%                        2.129.100.000
 Total/Total                                         10.309.973.240                             100%                     51.549.866.200




                                                                 157
Page 162
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


22.   MODAL SAHAM (Lanjutan)                                        22.     SHARE CAPITAL (Continued)

      Rekonsiliasi saham beredar pada tanggal                               Reconciliation of outstanding shares as September
      30 September 2024 dan 31 Desember 2023 adalah                         30, 2024 and December 31, 2023 is as follows:
      sebagai berikut:

                                         30 September/                    31 Desember/
                                       September 30, 2024                 December 31,
                                         (Tidak Diaudit/                  2023 (Diaudit/
                                           Unaudited)                       Audited)
          Saldo awal                           494.207.662                    495.700.662               Beginning balance
          Saham treasuri                                                                                   Treasury shares
              Pembelian kembali                          -              (1.493.000)                               Buyback
          Saldo akhir                           494.207.662            494.207.662                        Ending balance
          Efek Pemecahan Saham*)              9.884.153.240          9.884.153.240                       Stock Split Effect
          *) Harga nominal saham yang semula Rp 100,-/ saham menjadi Rp 5,-/saham


23.   TAMBAHAN MODAL DISETOR - NETO                                 23.     ADDITIONAL PAID-IN CAPITAL - NET

      Tambahan modal disetor Grup pada tanggal                              Additional paid-in capital of the Group as at June
      30 September 2024 dan 31 Desember 2023 adalah                         30 September, 2024 and December 31, 2023 is as
      sebagai berikut:                                                      follows:

                                        30 September/                31 Desember/
                                      September 30, 2024             December 31,
                                        (Tidak Diaudit/              2023 (Diaudit/
                                          Unaudited)                    Audited)
      Agio saham                            39.893.944.246             39.893.944.246                           Share premium
      Biaya emisi saham                       (869.457.357)              (869.457.357)                     Shares issuance costs
      Total                                 39.024.486.889             39.024.486.889                                     Total

24.   SALDO LABA DAN DIVIDEN                                        24.     RETAINED EARNINGS AND DIVIDENDS

      Undang-Undang No. 40 tahun 2007 (“Undang-                             Law No. 40 of 2007 (the “Law”) regarding the
      Undang”)       tentang  Perusahaan    Terbatas                        Limited Liability Company requires the
      mengharuskan seluruh perusahaan untuk membuat                         establishment of general reserve amounted to at
      penyisihan cadangan umum sekurang-kurangnya                           least 20% of a company’s issued and paid up
      20% dari jumlah modal yang ditempatkan dan                            capital. There is no set period of time over which
      disetor penuh. Undang-undang tersebut tidak                           this amount should be provided.
      mengatur jangka waktu untuk pembentukan
      penyisihan tersebut.

      Pada tanggal 31 Desember 2023, Entitas Induk                          As at December 31, 2023 , the Parent Entity has
      telah membentuk cadangan umum sebesar Rp                              established a provision of general reserves
      500.000.000.                                                          amounting to Rp 500,000,000.




                                                              158
Page 163
                                                              The original consolidated financial statements included herein are in
                                                                                                               Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                        AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                   INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                        FINANCIAL POSITION
Tanggal 30 September 2024                                                                    As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)


25.   KEPENTINGAN NON-PENGENDALI                             25.     NON-CONTROLLING INTERESTS

      Kepentingan Non-pengendali dalam aset bersih                   Non-controlling      Interest     in    net     assets     of
      Entitas Anak.                                                  Subsidiaries.

                                        30 September/              31 Desember/
                                      September 30, 2024           December 31,
                                        (Tidak Diaudit/            2023 (Diaudit/
                                          Unaudited)                 Audited)
      PT Batavia Prosperindo Trans                                                        PT Batavia Prosperindo Trans
       Tbk                                112.977.689.882           162.481.204.729                                 Tbk
      PT Malacca Trust Wuwungan                                                            PT Malacca Trust Wuwungan
       Insurance Tbk                       43.853.829.765            36.291.986.710                     Insurance Tbk
      PT Batavia Prosperindo Aset                                                          PT Batavia Prosperindo Aset
       Manajemen                           21.240.575.286             9.530.682.824                        Manajemen
      PT Batavia Prosperindo                                                                   PT Batavia Prosperindo
         Sekuritas                                 93.295                    40.393                           Sekuritas
      Strait Pristine                                                                                     Strait Pristine
       Resource Pte. Ltd                  103.252.144.242           72.039.801.184                   Resource Pte. Ltd
      Sweet Green                                                                                          Sweet Green
       Singapore Pte. Ltd                  30.476.700.072           24.448.014.178                  Singapore Pte. Ltd
      PT Sweet Green                                                                                   PT Sweet Green
       Indonesia                               13.070.559               12.229.844                           Indonesia
      Total                                311.814.103.101          304.803.959.862                                  Total

      Kepentingan Non-pengendali dalam laba neto                     Non-controlling      Interest     in   net     income      of
      Entitas Anak.                                                  Subsidiaries

                                        30 September/          30 September/
                                      September 30, 2024     September 30, 2023
                                        (Tidak Diaudit/        (Tidak Diaudit/
                                          Unaudited)             Unaudited)

       PT Batavia Prosperindo Aset                                                        PT Batavia Prosperindo Aset
        Manajemen                           8.328.644.664           12.536.169.375                        Manajemen
       PT Batavia Prosperindo Trans                                                      PT Batavia Prosperindo Trans
        Tbk                                 8.994.152.807           11.479.602.532                                 Tbk
       PT Malacca Trust Wuwungan                                                          PT Malacca Trust Wuwungan
        Insurance Tbk                       3.723.667.076            1.523.123.436                     Insurance Tbk
       PT Batavia Prosperindo                                                                 PT Batavia Prosperindo
        Sekuritas                                   8.516                     (348)                          Sekuritas
       Strait Pristine                                                                                   Strait Pristine
        Resource Pte. Ltd                     (25.087.276)                     -                    Resource Pte. Ltd
       Sweet Green                                                                                        Sweet Green
        Singapore Pte. Ltd                    (87.110.068)                     -                   Singapore Pte. Ltd
       PT Sweet Green                                                                                 PT Sweet Green
        Indonesia                              (1.181.098)                     -                            Indonesia
       Total                               20.933.094.621           25.538.894.995                                   Total


                                                       159
Page 164
                                                                The original consolidated financial statements included herein are in
                                                                                                                 Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                        PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


25.    KEPENTINGAN NON-PENGENDALI                              25.     NON-CONTROLLING INTERESTS

Kepentingan    Non-pengendali        dalam     laba            Non-controlling Interest in comprehensive income
komprehensif Entitas Anak.                                     of Subsidiaries.
                                        30 September/            30 September/
                                      September 30, 2024       September 30, 2023
                                        (Tidak Diaudit/          (Tidak Diaudit/
                                          Unaudited)               Unaudited)

  PT Batavia Prosperindo Aset                                                                 PT Batavia Prosperindo Aset
   Manajemen                                  8.328.644.664           12.536.169.375                          Manajemen
  PT Batavia Prosperindo Trans                                                               PT Batavia Prosperindo Trans
   Tbk                                        8.994.152.807           11.479.602.532                                   Tbk
  PT Malacca Trust Wuwungan                                                                   PT Malacca Trust Wuwungan
   Insurance Tbk                              3.723.667.076            1.523.123.436                       Insurance Tbk
  PT Batavia Prosperindo                                                                          PT Batavia Prosperindo
   Sekuritas                                          8.516                      (348)                           Sekuritas
  Strait Pristine                                                                                            Strait Pristine
   Resource Pte. Ltd                            (25.087.276)                      -                     Resource Pte. Ltd
  Sweet Green                                                                                                 Sweet Green
   Singapore Pte. Ltd                           (87.110.068)                      -                    Singapore Pte. Ltd
  PT Sweet Green                                                                                          PT Sweet Green
   Indonesia                                     (1.181.098)                      -                             Indonesia
  Total                                      20.933.094.621           25.538.894.995                                      Total

       Tabel di bawah ini menunjukan nilai persentase                  The table below shows details Non-controlling
       kepemilikan kepentingan Non-pengendali:                         Interest ownership:

                                         30 September/               31 Desember/
                                       September 30, 2024            December 31,
                                         (Tidak Diaudit/             2023 (Diaudit/
                                           Unaudited)                  Audited)

      PT Batavia Prosperindo Aset                                                             PT Batavia Prosperindo Aset
       Manajemen                             17,92%                     17,92%                                Manajemen
      PT Batavia Prosperindo Trans                                                           PT Batavia Prosperindo Trans
       Tbk                                   32,60%                     34,23%                                         Tbk
      PT Malacca Trust Wuwungan                                                               PT Malacca Trust Wuwungan
       Insurance Tbk                         12,73%                     13,14%                             Insurance Tbk
      PT Batavia Prosperindo                                                                      PT Batavia Prosperindo
       Sekuritas                             0,001%                     0,001%                                   Sekuritas
      Strait Pristine                                                                                        Strait Pristine
       Resource Pte. Ltd                     50,00%                     50,00%                          Resource Pte. Ltd
      Sweet Green                                                                                             Sweet Green
       Singapore Pte. Ltd                    13,40%                     16,11%                         Singapore Pte. Ltd
      PT Sweet Green                                                                                      PT Sweet Green
       Indonesia                             0,001%                     0,001%                                  Indonesia

                                                         160
Page 165
                                                             The original consolidated financial statements included herein are in
                                                                                                              Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                     PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)


25.    KEPENTINGAN              NON-PENGENDALI              25.     NON-CONTROLLING INTERESTS
       (Lanjutan)

      Tabel di bawah ini menunjukan rincian Entitas               The table below shows details of partially owned
      Anak yang tidak dimiliki sepenuhnya oleh Grup               Subsidiaries of the Group that have material
      yang memiliki Kepentingan Non-pengendali                    Noncontrolling Interests:
      material:
                                                      BPAM
                                      30 September/               31 Desember/
                                    September 30, 2024            December 31,
                                      (Tidak Diaudit/             2023 (Diaudit/
                                        Unaudited)                  Audited)
Total aset                               204.360.864.137          224.566.159.332                             Total assets
Total liabilitas                          83.148.637.415           68.846.461.116                          Total liabilities
Pendapatan                               310.064.375.974          427.483.074.272                                 Revenue
Laba neto tahun berjalan                  72.285.985.518           92.757.363.440                  Net income for the year
Total laba komprehensif                   55.492.528.506           94.964.995.722             Total comprehensive income
Kas masuk (keluar) neto dari:                                                                        Net cash in (out) from:
 Kegiatan operasi                         67.943.821.690          115.238.489.303                     Operating activities
 Kegiatan investasi                       16.528.841.994            7.933.659.605                      Investing activities
 Kegiatan pendanaan                      (90.914.757.869)         100.637.804.402                       Funding activities

                                                      BPT
                                      30 September/             31 Desember/
                                    September 30, 2024          December 31,
                                      (Tidak Diaudit/          2023 (Diaudit/
                                        Unaudited)                Audited)
Total aset                             1.919.048.773.577      1.528.539.670.473                               Total assets
Total liabilitas                       1.381.728.734.189      1.027.569.928.102                            Total liabilities
Pendapatan                               399.348.161.048        441.461.405.484                                   Revenue
Laba neto tahun berjalan                  47.526.206.373        112.892.614.096                    Net income for the year
Total laba komprehensif                   35.615.051.642         35.147.461.307               Total comprehensive income

Kas masuk (keluar) neto dari:                                                                        Net cash in (out) from:
 Kegiatan operasi                        137.220.488.573           190.422.552.330                    Operating activities
 Kegiatan investasi                     (557.823.457.371)         (299.440.994.493)                    Investing activities
 Kegiatan pendanaan                      316.611.418.646           224.435.161.229                      Funding activities




                                                      161
Page 166
                                                             The original consolidated financial statements included herein are in
                                                                                                              Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                     PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)


25.   KEPENTINGAN               NON-PENGENDALI              25.     NON-CONTROLLING INTERESTS (Continued)
      (Lanjutan)

      Tabel di bawah ini menunjukan rincian Entitas                 The table below shows details of partially owned
      Anak yang tidak dimiliki sepenuhnya oleh Grup                 Subsidiaries of the Group that have material
      yang memiliki Kepentingan Non-pengendali                      Noncontrolling Interests:
      material:

                                     30 September/              31 Desember/
                                   September 30, 2024           December 31,
                                     (Tidak Diaudit/           2023 (Diaudit/
                                       Unaudited)                 Audited)
Total aset                            1.692.099.704.277       1.627.392.898.057                                Total assets
Total liabilitas                      1.361.612.567.519       1.346.709.540.653                             Total liabilities
Pendapatan                               98.469.249.419          57.472.501.827                                    Revenue
Laba neto tahun berjalan                 49.803.779.296          12.249.439.146                     Net income for the year
Total laba komprehensif                  49.803.779.296          12.249.439.146                Total comprehensive income

Kas masuk (keluar) neto dari:                                                                         Net cash in (out) from:
 Kegiatan operasi                       84.284.422.686             117.695.008.530                     Operating activities
 Kegiatan investasi                     46.892.450.219            (147.764.370.459)                     Investing activities
 Kegiatan pendanaan                       (407.148.874)             33.311.112.939                       Funding activities

                                                      BPS
                                     30 September/                31 Desember/
                                   September 30, 2024             December 31,
                                     (Tidak Diaudit/              2023 (Diaudit/
                                       Unaudited)                   Audited)
Total aset                               10.522.832.258             3.737.865.493                              Total assets
Total liabilitas                             63.896.922                 91.646.922                          Total liabilities
Pendapatan                                7.025.132.364                        -                                   Revenue
Laba neto tahun berjalan                  6.812.716.765              (424.794.823)                  Net income for the year
Total laba komprehensif                   6.812.716.765              (424.794.823)             Total comprehensive income

Kas masuk (keluar) neto dari:                                                                         Net cash in (out) from:
 Kegiatan operasi                        7.668.777.524                 96.600.711                      Operating activities
 Kegiatan investasi                          1.661.815                 96.126.963                       Investing activities
 Kegiatan pendanaan                                -                          -                          Funding activities




                                                      162
Page 167
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


25.   KEPENTINGAN                     NON-PENGENDALI             25.     NON-CONTROLLING INTERESTS (Continued)
      (Lanjutan)
                                                           SPRL
                                           30 September/               31 Desember/
                                         September 30, 2024            December 31,
                                           (Tidak Diaudit/             2023 (Diaudit/
                                             Unaudited)                  Audited)
                                               SGD                         SGD
      Total aset                                  17.646.095                12.871.555                          Total assets
      Total liabilitas                                21.972                    24.942                       Total liabilities
      Pendapatan                                         -                         -                                Revenue
      Laba neto tahun berjalan                        (4.128)                  (11.361)              Net income for the year
      Total laba komprehensif                         (4.128)                  (11.361)         Total comprehensive income

      Kas masuk (keluar) neto dari:                                                                    Net cash in (out) from:
       Kegiatan operasi                               (4.884)                   586.662                 Operating activities
       Kegiatan investasi                                -                   (7.633.990)                 Investing activities
       Kegiatan pendanaan                            518.279                  7.131.676                   Funding activities

                                                           SGS
                                           30 September/               31 Desember/
                                         September 30, 2024            December 31,
                                           (Tidak Diaudit/             2023 (Diaudit/
                                             Unaudited)                  Audited)
                                               SGD                         SGD
      Total aset                                  19.239.822                14.230.438                          Total assets
      Total liabilitas                                   -                       2.671                       Total liabilities
      Pendapatan                                         -                         -                                Revenue
      Laba neto tahun berjalan                       (54.676)                  (97.241)              Net income for the year
      Total laba komprehensif                        (54.676)                  (97.241)         Total comprehensive income

      Kas masuk (keluar) neto dari:                                                                    Net cash in (out) from:
       Kegiatan operasi                               (56.869)                 (120.570)                Operating activities
       Kegiatan investasi                                 -                  (8.600.000)                 Investing activities
       Kegiatan pendanaan                            (111.457)                9.100.000                   Funding activities

                                                           SGI
                                           30 September/               31 Desember/
                                         September 30, 2024            December 31,
                                           (Tidak Diaudit/             2023 (Diaudit/
                                             Unaudited)                   Audited)
      Total aset                              267.707.708.751          206.453.829.009                          Total assets
      Total liabilitas                        137.085.255.197           61.477.723.117                       Total liabilities
      Pendapatan                                2.981.786.025             1.824.722.699                             Revenue
      Laba neto tahun berjalan                (14.353.652.358)           (6.192.101.091)             Net income for the year
      Total laba komprehensif                 (14.353.652.358)           (6.168.339.911)        Total comprehensive income

      Kas masuk (keluar) neto dari:                                                                    Net cash in (out) from:
       Kegiatan operasi                      (17.544.874.549)        (8.696.980.636)                    Operating activities
       Kegiatan investasi                    (68.294.569.319)      (135.023.060.209)                     Investing activities
       Kegiatan pendanaan                     75.646.460.157        145.764.246.667                       Funding activities

                                                           163
Page 168
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


26.    JASA MANAJEMEN                INVESTASI         DAN           26.   INVESTMENT MANAGEMENT AND OTHER
       LAINNYA                                                             FEES

                                           30 September/               30 September/
                                         September 30, 2024          September 30, 2023
                                           (Tidak Diaudit/             (Tidak Diaudit/
                                             Unaudited)                  Unaudited)
       Pihak ketiga                                                                                                  Third parties
       Jasa kegiatan Manajer                                                                                  Investment manager
        Investasi                                66.458.078.846             52.366.263.283                                   fees

       Pihak berelasi                                                                                              Related parties
       Jasa kegiatan Manajer                                                                                  Investment manager
        Investasi                               238.789.170.719            273.453.315.111                                   fees
       Total                                    305.247.249.565            325.819.578.394                                  Total


       Jasa kegiatan manajer investasi merupakan imbalan                   Investment manager fees relate to income from
       atas jasa yang diterima BPAM, Entitas Anak,                         service from BPAM, Subsidiary, as investment
       sebagai manajer investasi atas pengelolaan                          manager for management of funds with maximum
       reksadana yang besarnya maksimal 10% dari Nilai                     10% from Net Asset Value of mutual funds.
       Aset Bersih reksa dana.


27.    PENDAPATAN JASA TRANSPORTASI                                  27.   TRANSPORTATION SERVICE INCOME

                                          30 September/             30 September/
                                        September 30, 2024        September 30, 2023
                                          (Tidak Diaudit/           (Tidak Diaudit/
                                            Unaudited)                Unaudited)
       Pihak ketiga                                                                                               Third parties
        Sewa operasi                        381.728.023.403            323.320.822.155                  Operating lease income
        Jasa pengemudi                        2.138.934.702              2.601.259.957                          Driver services
        Lain-lain                                       -                  213.577.508                                   Others
       Total                                 383.866.958.105            326.135.659.620                                   Total

       Rincian pelanggan dengan total pendapatan                           The details of revenue from a single customer
       kumulatif individual tahunan yang melebihi 10%                      exceeding 10% of the total transportation service
       dari pendapatan jasa transportasi adalah sebagai                    income are as follows:
       berikut:

                                  30 September 2024/                       30 September 2023/
                                   September 30, 2024                      September 30, 2023
                                   Total            %                      Total            %
      PT Nusantara                                                                                           PT Nusantara Ekspres
       Ekspres Kilat           66.764.151.650         14,60          27.568.668.678                 8,45                    Kilat




                                                               164
Page 169
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


28.    HASIL UNDERWRITING – NETO                                    28.     UNDERWRITING INCOME – NET

                                         30 September/            30 September/
                                       September 30, 2024       September 30, 2023
                                         (Tidak Diaudit/          (Tidak Diaudit/
                                           Unaudited)               Unaudited)
      Pendapatan underwriting                                                                              Underwriting income
       Pendapatan premi                                                                                      Premiums income
        Premi bruto                      1.123.777.720.991             619.289.102.640                        Gross premiums
        Premi reasuransi                  (856.367.488.853)           (479.094.888.856)                Reinsurance premiums
        Penurunan (kenaikan) premi                                                                         Decrease (increase)
         yang belum merupakan                                                                          in unearned premiums
         pendapatan                        (68.717.802.651)               (16.900.696.056)                          (Note 26)
        Pendapatan underwriting                                                                             Other underwriting
         lain-lain                           1.416.596.845              1.096.469.651                                 income
      Total pendapatan underwriting        200.109.026.332            124.389.987.379                Total underwriting income

      Beban underwriting                                                                                Underwriting expenses
       Beban klaim                                                                                            Claims expenses
        Klaim bruto                        415.731.956.850             274.936.191.476                           Gross claims
        Klaim reasuransi                  (257.787.372.954)           (182.914.604.973)                   Reinsurance claims
        Kenaikan estimasi klaim                                                                    Increase in estimated own
         retensi sendiri                     4.400.488.033              9.539.234.163                     retention claims
        Beban klaim - neto                 162.345.071.929            101.560.820.666                    Claims expenses - net
        Beban komisi - neto                (54.029.585.557)           (35.248.050.049)             Commissions expenses - net
        Beban underwriting lain-lain        13.143.946.281             29.256.875.660             Other underwriting expenses
      Total beban underwriting             121.459.432.653             95.569.646.277             Total underwriting expenses
      Hasil investasi                       20.366.796.177             14.613.336.830                       Investment Income
      Hasil underwriting                    99.016.389.856             43.433.677.932                     Underwriting income

29.    PENDAPATAN KEUANGAN - NETO                                   29.     FINANCE INCOME - NET

                                         30 September/            30 September/
                                       September 30, 2024       September 30, 2023
                                         (Tidak Diaudit/          (Tidak Diaudit/
                                           Unaudited)               Unaudited)
      Bunga                                                                                                              Interest
       Deposito berjangka                    4.312.551.673                 5.348.452.347                         Time deposits
       Obligasi                              5.203.310.120                   592.096.365                                 Bonds
       Jasa giro                                24.181.233                 1.441.810.004                      Current account
      Amortisasi diskonto                                                                            Amortization of discounted
       obligasi                                        -                   2.478.897.092                                  bonds
      Lain-Lain                              3.217.280.669                   148.560.939                                 Others
      Total                                 12.757.323.695                10.009.816.747                                   Total




                                                              165
Page 170
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


30.   PENDAPATAN LAIN-LAIN - NETO                                      30.     OTHER INCOME - NET

                                               30 September/                   30 September/
                                             September 30, 2024              September 30, 2023
                                               (Tidak Diaudit/                 (Tidak Diaudit/
                                                 Unaudited)                      Unaudited)
      Pihak ketiga
        Laba atas investasi                       16.270.224.335                   7.238.351.896               Gain on investment
        Laba atas pendapatan                                                                                     Gain on dividen
          deviden BPF                              4.110.691.262                             -                       income BPF
        Laba atas pendapatan agribisnis            2.981.786.025                             -        Gain on agribusiness income
        Lain-lain - neto                          14.341.643.328                 (12.216.952.043)                     Others - net
      Total                                       37.704.344.949                  (4.978.600.147)

31.   BEBAN PEMASARAN                                                  31.     MARKETING EXPENSES
                                            30 September/            30 September/
                                          September 30, 2024       September 30, 2023
                                            (Tidak Diaudit/          (Tidak Diaudit/
                                              Unaudited)               Unaudited)
      Iklan dan promosi                        148.799.022.636         156.814.026.651                  Advertising and promotion
      Lain-lain (masing-masing                                                                                 Others (each below
       di bawah Rp 600 juta)                     1.104.856.640                 1.564.847.933                       Rp 600 million)
      Total                                    149.903.879.276               158.378.874.584                                Total

32.   BEBAN GAJI DAN TUNJANGAN                                         32.     SALARIES AND ALLOWANCES EXPENSES

                                            30 September/            30 September/
                                          September 30, 2024       September 30, 2023
                                            (Tidak Diaudit/          (Tidak Diaudit/
                                              Unaudited)               Unaudited)
      Gaji                                      83.702.194.535         65.850.623.863                                     Salaries
      Tunjangan                                  1.169.400.437         18.897.856.642                                  Allowances
      Bonus                                     26.168.060.565           4.530.342.096                                      Bonus
      Imbalan kerja                              2.231.000.000           2.202.000.000                          Employee benefits
      Pelatihan dan Pendidikan                   1.467.009.706                     -                       Training and Education
      Total                                   114.737.665.243          91.480.822.601                                        Total

33.   BEBAN KEUANGAN                                                   33.     FINANCE EXPENSES

                                            30 September/            30 September/
                                          September 30, 2024       September 30, 2023
                                            (Tidak Diaudit/          (Tidak Diaudit/
                                              Unaudited)               Unaudited)
      Bunga atas liabilitas sewa                28.281.259.286         34.433.925.343                  Interest on lease liabilities
      Bunga dan beban transaksi                                                                      Interest and transaction cost
       atas utang bank                         38.505.163.122                16.061.494.453                         on bank loans
      Bunga atas pinjaman pihak                                                                      Interest on due to third party
       ketiga                                             -                     168.514.603                                  loan
       Lain-Lain                                1.968.441.798                           -                                 Others
      Total                                    68.754.864.206                50.663.934.399                                   Total


                                                                 166
Page 171
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


34.   BEBAN UMUM DAN ADMINISTRASI                               34.    GENERAL              AND            ADMINISTRATIVE
                                                                       EXPENSES


                                     30 September/            30 September/
                                   September 30, 2024       September 30, 2023
                                     (Tidak Diaudit/          (Tidak Diaudit/
                                       Unaudited)               Unaudited)
      Operasional kantor                 8.189.352.289            3.107.487.173                          Office operational
      Jasa profesional                   5.576.823.938            5.061.417.380                            Professional fees
      Sewa dan pemeliharaan              5.883.806.532            4.675.122.753                     Rental and maintenance
      Telekomunikasi                     1.086.531.392              716.800.490                         Telecommunication
      Utilitas                           2.408.654.991              453.149.456                                     Utilities
      Asuransi                             305.460.584              100.423.025                                  Insurances
      Lain-lain (masing-masing                                                                         Others (each below
       di bawah Rp 1,1 miliar)          37.944.766.174                30.731.169.310                        Rp 1.1 billion)
      Total                             61.395.395.899                44.845.569.587                                   Total



35.   BEBAN JASA TRANSPORTASI                                   35.    TRANSPORTATION SERVICE EXPENSES

                                     30 September/            30 September/
                                   September 30, 2024       September 30, 2023
                                     (Tidak Diaudit/          (Tidak Diaudit/
                                       Unaudited)               Unaudited)
      Penyusutan                       132.992.658.617         106.390.853.555                               Depreciation
      Perbaikan dan pemeliharaan         72.420.357.303         58.606.278.919                     Repair and maintenance
      Perijinan kendaraan                21.502.454.976         20.464.220.885                             Vehicle licenses
      Ongkos angkut                       9.376.610.106           6.672.138.071                                     Freight
      Jasa pengemudi                      2.104.276.356           2.469.276.584                             Driver services
      Asuransi                           15.545.197.535         12.596.749.923                                   Insurance
      Lain-lain (masing-masing                                                                         Others (each below
       di bawah Rp 100 juta)               337.789.521              1.273.858.381                         Rp 100 million)
      Total                            254.279.344.414            208.473.376.318                                     Total



36.   KERUGIAN PENURUNAN NILAI                                  36.    EXPECTED CREDIT LOSSES

      Merupakan kerugian penurunan nilai atas piutang                  Represent impairment losses on the following
      sebagai berikut:                                                 receivables:
                                     30 September/            30 September/
                                   September 30, 2024       September 30, 2023
                                     (Tidak Diaudit/          (Tidak Diaudit/
                                       Unaudited)               Unaudited)
      Piutang sewa operasi               3.600.000.000            6.290.000.000                 Operating lease receivable
      Piutang lain-lain                             -             5.170.567.015                          Other receivable
      Piutang premi                                 -               493.957.952                      Premiums receivable
      Total                              3.600.000.000            5.664.524.967                                      Total




                                                          167
Page 172
                                                                                The original consolidated financial statements included herein are in
                                                                                                                                 Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                        PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                         (Expressed in Rupiah, unless otherwise stated)


37.    LABA NETO PER SAHAM DASAR                                               37.     BASIC EARNINGS PER SHARE
       Berikut ini adalah data yang digunakan sebagai                                  Below are the data used as the basis for the
       dasar untuk perhitungan laba neto per saham dasar:                              calculation of basic earnings per share:
                                                 30 September/                30 September/
                                               September 30, 2024           September 30, 2023
                                                 (Tidak Diaudit/              (Tidak Diaudit/
                                                   Unaudited)                   Unaudited)
      Laba tahun berjalan dari operasi                                                                            Income for the year from
       yang dilanjutkan                                142.232.756.868               99.312.952.613                 continuing operations
      Laba tahun berjalan yang                                                                                          Income for the year
       diatribusikan kepada pemilik                                                                                attributable to Owners
       Entitas Induk                                   121.299.662.248               73.774.057.617                   of the Parent Entity
      Sebelum Pemecahan saham:                                                                                           Before Stocksplit:
      Rata-rata tertimbang jumlah                                                                               Weighted average number
       saham biasa yang beredar                           494.207.662                   494.207.662                    of ordinary shares
      Setelah Pemecahan saham:                                                                                            After Stocksplit:
      Rata-rata tertimbang jumlah                                                                               Weighted average number
       saham biasa yang beredar                          9.884.153.240                9.884.153.240                   of ordinary shares
      Laba per saham
      Sebelum Pemecahan saham:                                                                                          Before Stocksplit:
      Dari operasi yang dilanjutkan                                -                             -              From continuing operations
      Setelah Pemecahan saham:                                                                                            After Stocksplit:
      Dari operasi yang dilanjutkan                              12,27                         7,46           From continuing operations
      Total laba per saham dasar                                 12,27                         7,46        Total basic earnings per shares


38.    SIFAT, SALDO, DAN TRANSAKSI DENGAN                                      38.     NATURE, BALANCES, AND TRANSACTIONS
       PIHAK BERELASI                                                                  WITH RELATED PARTIES

       Sifat Relasi                                                                    Nature of Relationship

       Berdasarkan surat Salinan Keputusan Kepala                                      Based from the Decision Letter of the Head of the
       Departemen Pengawasan Pasar Modal 2A tanggal                                    Capital Market Supervision Department 2A dated
       7 Oktober 2014 No. Kep-04/PM.21/2014 tentang                                    October 7, 2014 No. Kep-04/PM.21/ 2014
       pihak berelasi terkait pengelolaan Reksa Dana                                   concerning related parties related to Mutual Fund
       berbentuk Kontrak Investasi Kolektif, Manajer                                   management in the form of a Collective Investment
       Investasi merupakan pihak berelasi dengan Reksa                                 Contract, an Investment Manager is a related party
       Dana.                                                                           to an Investment Fund.
      Tahun/Year      Pihak berelasi/Related Parties          Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024     Batavia Dana Kas Maxima                 Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                            kegiatan manajer investasi/Marketable securities,
                                                                                            receivables from customers, and investment manager
                                                                                            income
      2023 & 2024     Batavia USD Bond Fund                   Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                            kegiatan manajer investasi/Marketable securities,
                                                                                            receivables from customers, and investment manager
                                                                                            income
      2023 & 2024     Batavia Obligasi Platinum Plus          Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                            kegiatan manajer investasi/Marketable securities,
                                                                                            receivables from customers, and investment manager
                                                                                            income
      2023 & 2024     Batavia USD Balanced Asia               Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                            kegiatan manajer investasi/Marketable securities,
                                                                                            receivables from customers, and investment manager
                                                                                            income


                                                                         168
Page 173
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                          38.   NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI                                                    WITH RELATED PARTIES

      Sifat Relasi (lanjutan)                                           Nature of Relationship (continued)

Tahun/Year     Pihak berelasi/Related Parties     Hubungan/Relationship                         Transaksi/Transaction

2023 & 2024    Batavia Infrastruktur 3            Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Infrastruktur 2            Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Infrastruktur 5            Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Dana Saham                 Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Dana Saham Optimal         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Global ESG Sharia Equity   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
               USD                                                             kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Technology Sharia Equity   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
               USD                                                             kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Dana Obligasi Ultima       Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Saham Sejahtera            Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Dana Dinamis               Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income
2023 & 2024    Batavia Dana Saham Syariah         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                               kegiatan manajer investasi/Marketable securities,
                                                                               receivables from customers, and investment manager
                                                                               income




                                                            169
Page 174
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                         38.   NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                        WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                          Nature of Relationship (Continued)

Tahun/Year     Pihak berelasi/Related Parties    Hubungan/Relationship                         Transaksi/Transaction
2023 & 2024    Batavia Prima Obligasi            Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Dana Likuid               Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia IDX30 ETF                 Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Smart Liquid ETF          Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Providentia Equity Fund   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Disruptive Equity         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Providentia Balanced      Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
               Fund                                                           kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Proteksi Gebyar 12        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Dana Obligasi Cemerlang   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Saham Bertumbuh           Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Obligasi Utama            Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income
2023 & 2024    Batavia Proteksi Andalan 7        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                              kegiatan manajer investasi/Marketable securities,
                                                                              receivables from customers, and investment manager
                                                                              income




                                                           170
Page 175
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


38.    SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.      NATURE, BALANCES, AND TRANSACTIONS
       PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

       Sifat Relasi (Lanjutan)                                                 Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties    Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024   Batavia LQ 45 Plus                Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023       Batavia Proteksi Maxima 8         Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Pesona Obligasi           Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023       Batavia Dana Kas Gebyar           Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023       Batavia Dana Obligasi Unggulan    Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Obligasi Bertumbuh        Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Dana Obligasi Plus        Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Dana Obligasi Optimal     Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Proteksi Ultima 21        Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Dana Kas Cemerlang        Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Proteksi Cemerlang 18     Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Sri Kehati ETF            Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Campuran Maxima           Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
       2023,2024    Batavia Proteksi Cemerlang Plus   Reksa dana/Mutual fund        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income




                                                                171
Page 176
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                              38.      NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                                WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                  Nature of Relationship (Continued)


       Tahun/Year   Pihak berelasi/Related Parties    Hubungan/Relationship                         Transaksi/Transaction
        2023,2024   KIK Pemupukan Dana Tapera         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                    Batavia Pendapatan Tetap                                       kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   KIK Pemupukan Dana Tapera         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                    Batavia Pendapatan Tetap Tanpa                                 kegiatan manajer investasi/Marketable securities,
                    Penjualan Kembali                                              receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Proteksi Maxima 37        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                   kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Dana Kas Nusantara        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                   kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Dana Obligasi Sejahtera   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                   kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Saham ESG Impact          Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                   kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Proteksi Gemilang 9       Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                   kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Proteksi Maxima 25        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                   kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   Batavia Pendapatan Tetap Utama    Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                    Syariah                                                        kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income
        2023,2024   KIK Pemupukan Dana Tapera         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                    Batavia Pasar Uang                                             kegiatan manajer investasi/Marketable securities,
                                                                                   receivables from customers, and investment manager
                                                                                   income




                                                                172
Page 177
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                               AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                          INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                               FINANCIAL POSITION
Tanggal 30 September 2024                                                                           As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                            38.      NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                              WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                Nature of Relationship (Continued)


      Tahun/Year   Pihak berelasi/Related Parties   Hubungan/Relationship                         Transaksi/Transaction
       2023,2024   Batavia Proteksi Gemilang 16     Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
      2023,2024    Batavia Proteksi Ultima 2        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
      2023,2024    Batavia Dana Kas Syariah         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
      2023,2024    Si Dana Obligasi Maxima          Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
      2023,2024    KIK Pemupukan Dana Tapera        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                   Batavia Pasar Uang Syariah                                    kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
      2023,2024    Batavia China Impact Sharia      Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                   Equity USD                                                    kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
      2023,2024    Batavia Campuran Gemilang        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
         2023      Batavia Proteksi Gebyar 11       Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
         2023      Batavia Proteksi Gebyar 9        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income
         2023      Batavia Proteksi Gebyar 10       Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                 kegiatan manajer investasi/Marketable securities,
                                                                                 receivables from customers, and investment manager
                                                                                 income




                                                              173
Page 178
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.      NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                 Nature of Relationship (Continued)


      Tahun/Year   Pihak berelasi/Related Parties    Hubungan/Relationship                         Transaksi/Transaction
       2023,2024   Batavia Pendapatan Tetap Sukses   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                   Syariah                                                        kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia Obligasi Sukses 1         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
      2023,2024    Batavia Campuran Bertumbuh        Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia College Bond Fund         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia Obligasi Sukses 2         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia Obligasi Negara           Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
      2023,2024    Batavia Pendapatan Tetap Sukses   Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                   Syariah 2                                                      kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia Obligasi Negara 2         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia Proteksi Ultima 1         Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income
         2023      Batavia Dana Obligasi Sentosa     Reksa dana/Mutual fund       Portofolio efek, piutang nasabah, dan pendapatan
                                                                                  kegiatan manajer investasi/Marketable securities,
                                                                                  receivables from customers, and investment manager
                                                                                  income




                                                               174
Page 179
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


38.    SIFAT, SALDO, DAN TRANSAKSI DENGAN                           38.   NATURE, BALANCES, AND TRANSACTIONS
       PIHAK BERELASI (Lanjutan)                                          WITH RELATED PARTIES (Continued)

       Sifat Relasi (Lanjutan)                                            Nature of Relationship (Continued)


      Tahun/Year   Pihak berelasi/Related Parties   Hubungan/Relationship                        Transaksi/Transaction
         2023      Batavia Proteksi Ultima 17       Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Ultima 12       Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Cemerlang 87    Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Campuran Utama           Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Ultima 26       Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Cemerlang 88    Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Ultima 15       Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
      2023,2024    Batavia Obligasi Platinum        Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Maxima 39       Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income
         2023      Batavia Proteksi Maxima 35       Reksa dana/Mutual fund      Portofolio efek, piutang nasabah, dan pendapatan
                                                                                kegiatan manajer investasi/Marketable securities,
                                                                                receivables from customers, and investment manager
                                                                                income




                                                              175
Page 180
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


38.    SIFAT, SALDO, DAN TRANSAKSI DENGAN                                38.   NATURE, BALANCES, AND TRANSACTIONS
       PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

       Sifat Relasi (Lanjutan)                                                  Nature of Relationship (Continued)
      Tahun/Year   Pihak berelasi/Related Parties        Hubungan/Relationship                       Transaksi/Transaction
         2023      Batavia Proteksi Syariah Misbah 5     Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Proteksi Gebyar 7           Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Proteksi Syariah Misbah 3   Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Proteksi Gemilang 10        Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Obligasi Bertumbuh 2        Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Proteksi Ultima 27          Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Prima Campuran              Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Proteksi Cemerlang 95       Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
      2023, 2024     Batavia Dana Kas Gemilang           Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income
         2023        Batavia Pendapatan Tetap Stabil     Reksa dana/Mutual fund     Portofolio efek, piutang nasabah, dan pendapatan
                                                                                    kegiatan manajer investasi/Marketable securities,
                                                                                    receivables from customers, and investment manager
                                                                                    income




                                                                   176
Page 181
                                                                               The original consolidated financial statements included herein are in
                                                                                                                                Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                       PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                       AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                  INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                       FINANCIAL POSITION
Tanggal 30 September 2024                                                                                   As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                       (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                                   38.     NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                                    WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                      Nature of Relationship (Continued)


      Tahun/Year    Pihak berelasi/Related Parties        Hubungan/Relationship                          Transaksi/Transaction
         2023       PT Batavia Prosperindo Logistik      Entitas sepengendali/Under       Piutang sewa operasi/Operating lease receivables
                                                           common control entity
         2023       PT Batavia Prosperindo Investama     Entitas sepengendali/Under       Pendapatan jasa transportasi/ Transportation service
                                                           common control entity          income
         2023       Malacca Trust Pte. Ltd., Singapura        Pemegang saham/             Jaminan Perusahaan/ Corporate guarantee
                                                                 Shareholder
         2023       PT Batavia Prosperindo Makmur             Pemegang saham/             Jaminan Perusahaan/ Corporate guarantee
                                                                 Shareholder
         2023       PT Batavia Prosperindo Trans Tbk            Piutang Premi/            Portofolio efek, piutang nasabah, dan pendapatan
                                                                                          kegiatan manajer investasi/Marketable securities,
                                                                                          receivables from customers, and investment manager
                                                                                          income
         2023       PT Batavia Prosperindo Aset                 Utang klaim/              Portofolio efek, piutang nasabah, dan pendapatan
                    Manajemen                                                             kegiatan manajer investasi/Marketable securities,
                                                                                          receivables from customers, and investment manager
                                                                                          income
         2023       PT Batavia Prosperindo Trans Tbk          Utang lain-lain/            Portofolio efek, piutang nasabah, dan pendapatan
                                                                                          kegiatan manajer investasi/Marketable securities,
                                                                                          receivables from customers, and investment manager
                                                                                          income
      2023 & 2024   PT Batavia Prosperindo Trans Tbk      Pendapatan underwriting/        Portofolio efek, piutang nasabah, dan pendapatan
                                                                                          kegiatan manajer investasi/Marketable securities,
                                                                                          receivables from customers, and investment manager
                                                                                          income
      2023 & 2024   PT Batavia Prosperindo Aset           Pendapatan underwriting/        Portofolio efek, piutang nasabah, dan pendapatan
                    Manajemen                                                             kegiatan manajer investasi/Marketable securities,
                                                                                          receivables from customers, and investment manager
                                                                                          income
         2023       PT Woori Finance Indonesia Tbk        Pendapatan underwriting/        Portofolio efek, piutang nasabah, dan pendapatan
                    (d/h PT Batavia Prosperindo                                           kegiatan manajer investasi/Marketable securities,
                    Finance Tbk)                                                          receivables from customers, and investment manager
                                                                                          income
      2023 & 2024   PT Batavia Prosperindo Trans Tbk           Beban klaim/               Portofolio efek, piutang nasabah, dan pendapatan
                                                                                          kegiatan manajer investasi/Marketable securities,
                                                                                          receivables from customers, and investment manager
                                                                                          income




                                                                     177
Page 182
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                   AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                              INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                   FINANCIAL POSITION
Tanggal 30 September 2024                                                                               As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                                38.    NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                                WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                  Nature of Relationship (Continued)


         Tahun/Year    Pihak berelasi/Related Parties       Hubungan/Relationship                           Transaksi/Transaction
         2023 & 2024   PT Woori Finance Indonesia Tbk           Beban klaim/               Portofolio efek, piutang nasabah, dan pendapatan
                       (d/h PT Batavia Prosperindo                                         kegiatan manajer investasi/Marketable securities,
                       Finance Tbk)                                                        receivables from customers, and investment manager
                                                                                           income
         2023 & 2024   PT Batavia Prosperindo Aset                Beban klaim/             Portofolio efek, piutang nasabah, dan pendapatan
                       Manajemen                                                           kegiatan manajer investasi/Marketable securities,
                                                                                           receivables from customers, and investment manager
                                                                                           income
         2023 & 2024   PT Woori Finance Indonesia Tbk           Pendapatan sewa/           Portofolio efek, piutang nasabah, dan pendapatan
                       (d/h PT Batavia Prosperindo                                         kegiatan manajer investasi/Marketable securities,
                       Finance Tbk)                                                        receivables from customers, and investment manager
                                                                                           income
         2023 & 2024   PT Batavia Prosperindo Trans Tbk           Beban usaha/             Portofolio efek, piutang nasabah, dan pendapatan
                                                                                           kegiatan manajer investasi/Marketable securities,
                                                                                           receivables from customers, and investment manager
                                                                                           income
         2023 & 2024   PT Batavia Prosperindo                     Beban usaha/             Portofolio efek, piutang nasabah, dan pendapatan
                       Internasional Tbk                                                   kegiatan manajer investasi/Marketable securities,
                                                                                           receivables from customers, and investment manager
                                                                                           income
            2023       PT Woori Finance Indonesia Tbk             Beban usaha/             Portofolio efek, piutang nasabah, dan pendapatan
                       (d/h PT Batavia Prosperindo                                         kegiatan manajer investasi/Marketable securities,
                       Finance Tbk)                                                        receivables from customers, and investment manager
                                                                                           income
         2023 & 2024   PT Batavia Prosperindo                  Pemegang saham/             Jaminan Perusahaan/ Corporate guarantee
                       Internasional Tbk                         Shareholder
         2023 & 2024   Vientje Harjanto                        Pemegang saham/             Jaminan Perusahaan/ Corporate guarantee
                                                                 Shareholder
            2023       PT Malacca Trust Wuwungan                 Beban usaha/              Portofolio efek, piutang nasabah, dan pendapatan
                       Insurance Tbk                                                       kegiatan manajer investasi/Marketable securities,
                                                                                           receivables from customers, and investment manager
                                                                                           income
            2023       PT Batavia Prosperindo             Penghasilan (beban) lain-lain/   Portofolio efek, piutang nasabah, dan pendapatan
                       Internasional Tbk                                                   kegiatan manajer investasi/Marketable securities,
                                                                                           receivables from customers, and investment manager
                                                                                           income




38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                                38.    NATURE, BALANCES, AND TRANSACTIONS
                                                                  178
Page 183
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                   AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                              INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                   FINANCIAL POSITION
Tanggal 30 September 2024                                                                               As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)


     PIHAK BERELASI (Lanjutan)                                                   WITH RELATED PARTIES (Continued)

     Sifat Relasi (Lanjutan)                                                     Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties     Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024   Batavia Dana Kas Maxima             Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia USD Bond Fund               Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia Obligasi Platinum Plus      Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia Dana Kas Syariah            Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia USD Balanced Asia           Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia Infrastruktur 3             Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia Infrastruktur 2             Reksa dana/Mutual fund       Portofolio efek, piutang kegiatan manajer investasi, dan
                                                                                     pendapatan kegiatan manajer investasi/Marketable
                                                                                     securities, investment manager receivables, and investment
                                                                                     manager income
      2023 & 2024   Batavia Dana Saham                  Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Saham Optimal          Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Obligasi Ultima        Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Technology Sharia Equity    Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                    USD                                                              kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income




                                                                  179
Page 184
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                   AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                              INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                   FINANCIAL POSITION
Tanggal 30 September 2024                                                                               As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                                38.      NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                                  WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                    Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties     Hubungan/Relationship                         Transaksi/Transaction
      2023 & 2024   Batavia Saham Cemerlang             Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Global ESG Sharia Equity    Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                    USD                                                              kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Saham Sejahtera             Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Campuran Cemerlang          Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Dinamis                Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Likuid                 Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Prima Obligasi              Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Infrastruktur 6             Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Saham Syariah          Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Smart Liquid ETF            Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia China Impact Sharia         Reksa dana/Mutual fund       Piutang kegiatan manajer investasi dan pendapatan
                    Equity USD                                                       kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income




                                                                  180
Page 185
                                                                         The original consolidated financial statements included herein are in
                                                                                                                          Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


38.    SIFAT, SALDO, DAN TRANSAKSI DENGAN                              38.      NATURE, BALANCES, AND TRANSACTIONS
       PIHAK BERELASI (Lanjutan)                                                WITH RELATED PARTIES (Continued)

       Sifat Relasi (Lanjutan)                                                  Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties    Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024   Batavia IDX30 ETF                  Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Maxima 50         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Disruptive Equity          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Obligasi Cemerlang    Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Saham Bertumbuh            Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Andalan 7         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Pesona Obligasi            Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Maxima 51         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Obligasi Utama             Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Providentia Balanced       Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                    Fund                                                             kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Kas Gebyar            Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income




                                                                 181
Page 186
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


38.     SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.      NATURE, BALANCES, AND TRANSACTIONS
        PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

        Sifat Relasi (Lanjutan)                                                 Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties    Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024   Batavia Dana Obligasi Plus         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Obligasi Optimal      Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Obligasi Berkembang        Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Ultima 21         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia LQ 45 Plus                 Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Index Pefindo I-grade      Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Obligasi Bertumbuh         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Sri Kehati ETF             Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Cemerlang 18      Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   KIK Pemupukan Dana Tapera          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                    Batavia Pendapatan Tetap                                         kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Cemerlang Plus    Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   KIK Pemupukan Dana Tapera          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                    Batavia Pendapatan Tetap Tanpa                                   kegiatan manajer investasi/Investment manager receivables
                    Penjualan Kembali                                                and investment manager income




                                                                 182
Page 187
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


38.     SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.      NATURE, BALANCES, AND TRANSACTIONS
        PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

        Sifat Relasi (Lanjutan)                                                 Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties    Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024   Batavia Dana Kas Nusantara         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Maxima 37         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Saham ESG Impact           Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Obligasi Sejahtera    Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Gemilang 9        Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Maxima 25         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   KIK Pemupukan Dana Tapera          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                    Batavia Pasar Uang                                               kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Pendapatan Tetap Utama     Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                    Syariah                                                          kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Si Dana Obligasi Maxima            Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Gemilang 16       Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   KIK Pemupukan Dana Tapera          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                    Batavia Pasar Uang Syariah                                       kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income




                                                                 183
Page 188
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


38.     SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.      NATURE, BALANCES, AND TRANSACTIONS
        PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

        Sifat Relasi (Lanjutan)                                                 Nature of Relationship (Continued)

      Tahun/Year    Pihak berelasi/Related Parties    Hubungan/Relationship                          Transaksi/Transaction
      2023 & 2024   Batavia Providentia Equity Fund    Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Gebyar 12         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Maxima 8          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Obligasi Unggulan     Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Dana Kas Cemerlang         Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Campuran Maxima            Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Ultima 2          Reksa dana/Mutual fund        Piutang kegiatan manajer investasi dan pendapatan
                                                                                     kegiatan manajer investasi/Investment manager receivables
                                                                                     and investment manager income
      2023 & 2024   Batavia Proteksi Maxima 39         Reksa dana/Mutual fund        Pendapatan kegiatan manajer investasi/Investment
                                                                                     manager income
      2023 & 2024   Batavia Proteksi Gebyar 11         Reksa dana/Mutual fund        Pendapatan kegiatan manajer investasi/Investment
                                                                                     manager income
      2023 & 2024   Batavia Proteksi Maxima 35         Reksa dana/Mutual fund        Pendapatan kegiatan manajer investasi/Investment
                                                                                     manager income
      2023 & 2024   Batavia Campuran Gemilang          Reksa dana/Mutual fund        Pendapatan kegiatan manajer investasi/Investment
                                                                                     manager income
      2023 & 2024   Batavia Infrastruktur 5            Reksa dana/Mutual fund        Pendapatan kegiatan manajer investasi/Investment
                                                                                     manager income
      2023 & 2024   Batavia Proteksi Gebyar 10         Reksa dana/Mutual fund        Pendapatan kegiatan manajer investasi/Investment
                                                                                     manager income




                                                                 184
Page 189
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.     NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                              WITH RELATED PARTIES (Continued)

      Sifat Relasi (Lanjutan)                                                Nature of Relationship (Continued)

  Tahun/Year    Pihak berelasi/Related Parties     Hubungan/Relationship                          Transaksi/Transaction
  2023 & 2024   Batavia Proteksi Gebyar 9           Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Campuran Utama              Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Pendapatan Tetap Sukses     Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                Syariah                                                            manager income
  2023 & 2024   Batavia Obligasi Sukses 1           Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Proteksi Ultima 17          Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Proteksi Cemerlang 87       Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia College Bond Fund           Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Obligasi Negara             Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Pendapatan Tetap Sukses     Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                Syariah 2                                                          manager income
  2023 & 2024   Batavia Proteksi Ultima 26          Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Dana Obligasi Sentosa       Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Obligasi Negara 2           Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Proteksi Ultima 15          Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Proteksi Ultima 1           Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   Batavia Proteksi Ultima 12          Reksa dana/Mutual fund         Pendapatan kegiatan manajer investasi/Investment
                                                                                   manager income
  2023 & 2024   PT Batavia Prosperindo            Entitas Induk/ Parent Entity     Beban usaha/Operating expenses
                Internasional Tbk
  2023 & 2024   PT Malacca Trust Wuwungan         Entitas Sepengendali/ Under      Beban usaha/Operating expenses
                Insurance Tbk                           Common Control




                                                               185
Page 190
                                                                              The original consolidated financial statements included herein are in
                                                                                                                               Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                        AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                   INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                        FINANCIAL POSITION
Tanggal 30 September 2024                                                                                    As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                        (Expressed in Rupiah, unless otherwise stated)


38.     SIFAT, SALDO, DAN TRANSAKSI DENGAN                                   38.    NATURE, BALANCES, AND TRANSACTIONS
        PIHAK BERELASI (Lanjutan)                                                   WITH RELATED PARTIES (Continued)
        Saldo dan Transaksi Dengan Pihak Berelasi                                   Balances and Transactions with Related Parties
        a.     Portofolio Efek (Catatan 6)                                          a.     Marketable Securities (Note 6)
                                                       30 September/           31 Desember/
                                                     September 30, 2024        December 31,
                                                       (Tidak Diaudit/         2023 (Diaudit/
                                                         Unaudited)              Audited)
      Reksa Dana                                                                                                                 Mutual Funds
          Batavia Dana Kas Maxima                          89.671.581.898       112.503.090.625                  Batavia Dana Kas Maxima
          Batavia Obligasi Platinum Plus                 104.498.211.233       101.704.265.046               Batavia Obligasi Platinum Plus
          Batavia Dana Obligasi Ultima                    10.314.929.775                      -               Batavia Dana Obligasi Ultima
          BD Kas Syariah                                  10.359.520.011        10.020.109.706                             BD Kas Syariah
          Batavia Pendapatan Tetap Optimal Syariah        10.257.700.000                      -
          Batavia USD Balances Asia                        6.157.151.825         6.151.702.788                   Batavia USD Balances Asia
          Batavia Infrastruktur 3                          5.096.080.000         5.095.215.500                       Batavia Infrastruktur 3
          Batavia Infrastruktur 2                          5.076.685.643         5.073.516.878                       Batavia Infrastruktur 2
          DPLK                                             3.033.481.122                      -                                       DPLK
          Batavia USD Bond Fund                                         -       11.064.649.008                     Batavia USD Bond Fund
      Total                                              244.465.341.507       251.612.549.551                                            Total
      Persentase terhadap total aset                               5,33%                 6,04%                        Percentage to total assets


        b.     Piutang Nasabah                                                      b.     Receivables from Customers

                                                       30 September/           31 Desember/
                                                     September 30, 2024        December 31,
                                                       (Tidak Diaudit/         2023 (Diaudit/
                                                         Unaudited)              Audited)
  Reksa Dana                                                                                                                      Mutual Funds
    Batavia Dana Kas Maxima                              11.908.751.750            10.974.266.495                 Batavia Dana Kas Maxima
    Batavia Dana Saham                                    3.854.279.328             6.065.306.128                      Batavia Dana Saham
    Batavia Technology Sharia Equity USD                  3.209.116.739             1.162.209.927     Batavia Technology Sharia Equity USD
    Batavia Dana Obligasi Ultima                          2.173.092.396             1.343.514.416              Batavia Dana Obligasi Ultima
    Batavia Saham Cemerlang                               1.199.676.951             1.089.096.523                 Batavia Saham Cemerlang
    Batavia Dana Saham Syariah                              886.412.330               234.026.108              Batavia Dana Saham Syariah
    Batavia Dana Saham Optimal                              772.865.835             1.506.830.866              Batavia Dana Saham Optimal
    Batavia Campuran Cemerlang                              727.544.211               431.890.105              Batavia Campuran Cemerlang
    Batavia Saham Sejahtera                                 664.576.416               775.360.217                   Batavia Saham Sejahtera
    Batavia Reksa Dana Syariah BGESE USD                    510.621.402               871.669.064   Batavia Reksa Dana Syariah BGESE USD
    Batavia Dana Likuid                                     446.463.455               290.343.793                       Batavia Dana Likuid
    Batavia Dana Dinamis                                    425.435.515               406.324.482                     Batavia Dana Dinamis
    RDPT Batavia Infra 6                                    329.024.649               234.747.761                      RDPT Batavia Infra 6
    Batavia Prima Obligasi                                  299.849.609               270.841.437                    Batavia Prima Obligasi
    Batavia Infrastruktur 3                                 291.164.044               288.183.209                     Batavia Infrastruktur 3
    Batavia Smart Liquid ETF                                273.390.889               133.126.648                  Batavia Smart Liquid ETF
    Batavia Sri Kehati ETF                                  254.661.315                24.691.719                     Batavia Sri Kehati ETF
    Batavia Obligasi Platinum Plus                          177.714.889                79.231.168             Batavia Obligasi Platinum Plus
    Batavia Infrastruktur 2                                 158.244.364               156.555.229                     Batavia Infrastruktur 2
    Batavia USD Bond Fund                                   109.777.443                62.097.643                   Batavia USD Bond Fund
    Batavia Proteksi Maxima 50                              100.766.080               101.185.207                Batavia Proteksi Maxima 50
    Batavia USD Balanced Asia                               100.648.846                84.593.512                Batavia USD Balanced Asia
    Batavia Dana Obligasi Cemerlang                          88.457.665                87.039.008          Batavia Dana Obligasi Cemerlang
    Batavia China Impact Sharia Equity USD                   86.532.365               107.452.700   Batavia China Impact Sharia Equity USD



                                                                       186
Page 191
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                             38.    NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                             WITH RELATED PARTIES (Continued)

      Saldo dan Transaksi Dengan Pihak Berelasi                             Balances and Transactions with Related Parties
      (Lanjutan)                                                            (Continued)

      b.    Piutang Nasabah (Lanjutan)                                      b.    Receivables from Customers (Continued)

                                                30 September/          31 Desember/
                                              September 30, 2024       December 31,
                                                (Tidak Diaudit/        2023 (Diaudit/
                                                  Unaudited)             Audited)
 Reksa Dana Lanjutan                                                                                                        Mutual Funds
   Batavia Pesona Obligasi                            77.891.739              65.184.733                       Batavia Pesona Obligasi
   Batavia Proteksi Andalan 7                         74.181.607              72.265.769                    Batavia Proteksi Andalan 7
   Batavia Saham ESG Impact                           73.014.736              13.636.314                   Batavia Saham ESG Impact
   Batavia Proteksi Maxima 51                         61.307.851              62.028.400                   Batavia Proteksi Maxima 51
   Batavia Providentia BL.Fund                        58.008.313              50.024.588                  Batavia Providentia BL.Fund
   Batavia Dana Kas Gebyar                            47.659.986              35.488.785                     Batavia Dana Kas Gebyar
   Batavia Disruptive Equity                          45.280.346              93.349.249                      Batavia Disruptive Equity
   Batavia Obligasi Berkembang                        44.381.652              29.713.660                 Batavia Obligasi Berkembang
   Batavia Index Pefindo I-Grade                      37.036.320              27.058.059                Batavia Index Pefindo I-Grade
   Batavia Proteksi Syariah Maxima 2                  36.739.641                      -             Batavia Proteksi Syariah Maxima 2
   Batavia Obligasi Utama                             33.163.612              59.805.618                       Batavia Obligasi Utama
   Batavia Dana Obligasi Optimal                      30.840.912              31.238.066               Batavia Dana Obligasi Optimal
   Batavia Saham Bertumbuh                            30.301.659              77.838.940                    Batavia Saham Bertumbuh
   Batavia Proteksi Ultima 21                         27.823.876              27.685.142                    Batavia Proteksi Ultima 21
   KIK PDT Batavia PD Tetap                           24.939.469              23.789.718                   KIK PDT Batavia PD Tetap
   Batavia Proteksi Cemerlang 18                      24.848.060              24.642.434                Batavia Proteksi Cemerlang 18
   Batavia Proteksi Cemerlang Plus                    22.981.945              22.933.140              Batavia Proteksi Cemerlang Plus
   KIK PDT BPT Tanpa PJL Kembali                      22.683.098              21.951.641            KIK PDT BPT Tanpa PJL Kembali
   Batavia LQ 45 Plus                                 22.115.069              27.132.481                            Batavia LQ 45 Plus
   Batavia Obligasi Bertumbuh                         21.945.933              27.001.558                   Batavia Obligasi Bertumbuh
   Batavia Dana Kas Syariah                           20.723.776              18.280.040                     Batavia Dana Kas Syariah
   Batavia IDX30 ETF                                  19.511.804             107.024.709                           Batavia IDX30 ETF
   Batavia Dana Kas Nusantara                         19.456.576              18.729.073                  Batavia Dana Kas Nusantara
   Batavia Proteksi Maxima 37                         18.837.748              18.606.363                   Batavia Proteksi Maxima 37
   Batavia Dana Obligasi Plus                         16.301.647              32.547.479                   Batavia Dana Obligasi Plus
   Batavia Pendapatan Tetap Optimal Syariah           14.165.761                      -     Batavia Pendapatan Tetap Optimal Syariah
   Batavia Dana Obligasi Sejahtera                    13.924.102              13.599.786              Batavia Dana Obligasi Sejahtera
   Batavia Proteksi Maxima 56                         11.230.243                      -                    Batavia Proteksi Maxima 56
   KIK PDT Batavia Pasar Uang                         10.344.784               9.944.175                 KIK PDT Batavia Pasar Uang
   Batavia Proteksi Maxima 25                         10.262.971              10.049.665                   Batavia Proteksi Maxima 25
   Batavia Proteksi Gemilang 9                        10.122.495              10.131.513                  Batavia Proteksi Gemilang 9
   Batavia Proteksi Maxima 57                          7.026.430                      -                    Batavia Proteksi Maxima 57
   Batavia Pendapatan Tetap Utama Syariah              6.692.227               6.406.647     Batavia Pendapatan Tetap Utama Syariah
   Si Dana Obligasi Maxima                             5.182.980               5.245.963                     Si Dana Obligasi Maxima
   KIK PDT B.Pasar Uang Syariah                        2.413.707               3.231.544              KIK PDT B.Pasar Uang Syariah
   Batavia Proteksi Gemilang 16                               -                4.538.313                 Batavia Proteksi Gemilang 16
 Total                                             30.052.411.561          27.831.686.930                                            Total
 Persentase terhadap total aset                            0,65%                   0,67%                         Percentage to total assets




                                                               187
Page 192
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                              38.   NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                             WITH RELATED PARTIES (Continued)

      Saldo dan Transaksi Dengan Pihak Berelasi                             Balances and Transactions with Related Parties
      (Lanjutan)                                                            (Continued)

      c.     Jasa Manajemen Investasi dan Lainnya                           c.    Investment Management and Other Fees
             (Catatan 26)                                                         (Note 26)
                                             30 September/          30 September/
                                           September 30, 2024     September 30, 2023
                                             (Tidak Diaudit/        (Tidak Diaudit/
                                               Unaudited)             Unaudited)
Reksa Dana                                                                                                               Mutual Funds
  Batavia Dana Kas Maxima                      95.530.809.637           81.649.984.180                    Batavia Dana Kas Maxima
  Batavia Dana Saham                           41.914.122.789           95.545.319.664                          Batavia Dana Saham
  Batavia Technology Sharia Equity USD         17.994.150.888            9.640.008.996        Batavia Technology Sharia Equity USD
  Batavia Dana Obligasi Ultima                 14.650.550.751           10.636.992.962                 Batavia Dana Obligasi Ultima
  Batavia Saham Cemerlang                       8.930.609.786           10.716.664.165                    Batavia Saham Cemerlang
  Batavia Dana Saham Optimal                    8.835.356.324           13.663.348.893                 Batavia Dana Saham Optimal
  Batavia Dana Saham Syariah                    6.639.273.578            2.472.438.077                  Batavia Dana Saham Syariah
  Batavia Global ESG Sharia Equity USD          5.454.048.443            8.869.790.685        Batavia Global ESG Sharia Equity USD
  Batavia Saham Sejahtera                       5.401.264.028            8.115.902.677                      Batavia Saham Sejahtera
  Batavia Campuran Cemerlang                    4.904.235.402            2.800.998.657                 Batavia Campuran Cemerlang
  Batavia Dana Dinamis                          3.211.064.822            6.873.404.699                        Batavia Dana Dinamis
  Batavia Dana Likuid                           2.825.090.281            2.252.226.983                          Batavia Dana Likuid
  Batavia Prima Obligasi                        2.283.428.003            2.141.913.453                       Batavia Prima Obligasi
  Batavia Proteksi Maxima 53                    1.643.850.000                      -
  Batavia Smart Liquid ETF                      1.546.396.662            1.072.324.654                    Batavia Smart Liquid ETF
  Batavia USD Bond Fund                         1.179.140.878               79.641.390                      Batavia USD Bond Fund
  Batavia Obligasi Platinum Plus                1.037.216.184              294.991.409                Batavia Obligasi Platinum Plus
  Batavia USD Balanced Asia                       962.298.746              855.520.766                   Batavia USD Balanced Asia
  Batavia China Impact Sharia Equity USD          915.351.905              716.791.209
  Batavia Sri Kehati ETF                          847.617.878              203.344.476                        Batavia Sri Kehati ETF
  RDPT Batavia Infrastruktur 6                    837.927.284              174.485.442                  RDPT Batavia Infrastruktur 6
  Batavia Proteksi Maxima 50                      818.425.530              734.837.049                   Batavia Proteksi Maxima 50
  Batavia RDPT Infrastruktur 3                    778.539.085              774.744.930                  Batavia RDPT Infrastruktur 3
  Batavia Dana Obligasi Cemerlang                 700.985.253              651.063.319             Batavia Dana Obligasi Cemerlang
  Batavia Pesona Obligasi                         599.685.225              529.034.112                      Batavia Pesona Obligasi
  Batavia Proteksi Andalan 7                      591.306.630              581.141.972                    Batavia Proteksi Andalan 7
  Batavia IDX30 ETF                               572.145.326            1.097.476.076                           Batavia IDX30 ETF
  Batavia Proteksi Maxima 51                      498.735.757              231.712.983                   Batavia Proteksi Maxima 51
  Batavia Providentia Balanced Fund               463.805.089              444.546.456            Batavia Providentia Balanced Fund
  Batavia Disruptive Equity                       452.913.969              809.513.205                     Batavia Disruptive Equity
  Batavia Obligasi Utama                          428.920.969              502.561.201                       Batavia Obligasi Utama
  Batavia RDPT Infrastruktur 2                    423.264.690              420.601.159                  Batavia RDPT Infrastruktur 2
  Batavia Index Pefindo I-Grade                   399.814.015                      -                  Batavia Index Pefindo I-Grade
  Batavia Saham ESG Impact                        381.883.152              128.196.067                    Batavia Saham ESG Impact




                                                                188
Page 193
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                              38.     NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                               WITH RELATED PARTIES (Continued)

      Saldo dan Transaksi Dengan Pihak Berelasi                               Balances and Transactions with Related Parties
      (Lanjutan)                                                              (Continued)

      c.    Jasa Manajemen Investasi dan Lainnya                              c.    Investment Management and Other Fees
            (Catatan 26) (Lanjutan)                                                 (Note 26) (Continued)

                                                  30 September/          30 September/
                                               September 30, 2024     September 30, 2023
                                                 (Tidak Diaudit/        (Tidak Diaudit/
                                                   Unaudited)             Unaudited)
  Reksa Dana (lanjutan)                                                                                           Mutual Funds (continued)
    Batavia Dana Kas Gebyar                           379.872.463               31.433.570                     Batavia Dana Kas Gebyar
    Batavia Obligasi Berkembang                       340.950.785               26.094.997                 Batavia Obligasi Berkembang
    Batavia Saham Bertumbuh                           304.556.108              613.773.588                     Batavia Saham Bertumbuh
    Batavia Dana Obligasi Optimal                     251.793.342              265.469.947               Batavia Dana Obligasi Optimal
    Batavia LQ 45 Plus                                226.359.949              377.995.078                            Batavia LQ 45 Plus
    Batavia Proteksi Ultima 21                        225.555.815              224.464.186                    Batavia Proteksi Ultima 21
    Batavia Proteksi Syariah Maxima 2                 212.893.294                       -             Batavia Proteksi Syariah Maxima 2
    Batavia Obligasi Bertumbuh                        201.340.680              249.944.895                   Batavia Obligasi Bertumbuh
    Batavia Proteksi Cemerlang 18                     200.835.864              199.126.721                Batavia Proteksi Cemerlang 18
    KIK PDT Batavia PD Tetap                          195.901.075              185.685.271                   KIK PDT Batavia PD Tetap
    Batavia Dana Kas Syariah                          192.606.838               52.188.486                     Batavia Dana Kas Syariah
    Batavia Proteksi Cemerlang Plus                   186.292.792              184.992.902              Batavia Proteksi Cemerlang Plus
    KIK PDT BPT Tnp PJL Kembali                       181.063.489              172.331.049              KIK PDT BPT Tnp PJL Kembali
    Batavia Dana Obligasi Plus                        177.759.463              282.591.861                   Batavia Dana Obligasi Plus
    Batavia Dana Kas Nusantara                        155.139.244              146.949.680                  Batavia Dana Kas Nusantara
    Batavia Proteksi Maxima 37                        151.596.226              150.509.799                   Batavia Proteksi Maxima 37
    Batavia Dana Obligasi Sejahtera                   110.892.714              111.528.029              Batavia Dana Obligasi Sejahtera
    PDT Batavia Pasar Uang                             82.316.873               77.890.725                      PDT Batavia Pasar Uang
    Batavia Proteksi Maxima 25                         82.311.055               81.191.993                   Batavia Proteksi Maxima 25
    Batavia Proteksi Gemilang 9                        82.260.715               81.287.159                  Batavia Proteksi Gemilang 9
    Batavia Pendapatan Tetap Utama Syariah             53.125.562               60.843.739     Batavia Pendapatan Tetap Utama Syariah
    Batavia Dana Obligasi Maxima                       42.168.247               45.334.324               Batavia Dana Obligasi Maxima
    Batavia Pendapatan Tetap Optimal Syariah           34.117.407                       -     Batavia Pendapatan Tetap Optimal Syariah
    Batavia Proteksi Maxima 56                         27.467.043                       -                    Batavia Proteksi Maxima 56
    KIK PDT B.Pasar Uang Syariah                       19.215.258               25.904.744              KIK PDT B.Pasar Uang Syariah
    Batavia Proteksi Gemilang 16                       10.103.193               57.272.019                 Batavia Proteksi Gemilang 16
    Batavia Proteksi Maxima 57                          6.446.266                       -                    Batavia Proteksi Maxima 57
    KPD Prulink Rp Eq Fund Plu                                -              3.174.475.732                 KPD Prulink Rp Eq Fund Plu
    Batavia Dana Obligasi Unggulan                            -                328.959.452             Batavia Dana Obligasi Unggulan
    Batavia Providentia Eq.Fund                               -                268.160.183                  Batavia Providentia Eq.Fund
    Batavia Proteksi Gebyar 12                                -                267.806.984                    Batavia Proteksi Gebyar 12
    Batavia Dana Kas Cemerlang                                -                 66.713.848                 Batavia Dana Kas Cemerlang
    Batavia Proteksi Maxima 8                                 -                  5.833.358                    Batavia Proteksi Maxima 8
    Batavia Proteksi Ultima 2                                                      701.920                      Batavia Proteksi Ultima 2
  Total                                            238.789.170.719          273.498.978.205                                            Total
  Persentase terhadap total pendapatan                     28,48%                   37,94%




                                                                189
Page 194
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


38.   SIFAT, SALDO, DAN TRANSAKSI DENGAN                               38.   NATURE, BALANCES, AND TRANSACTIONS
      PIHAK BERELASI (Lanjutan)                                              WITH RELATED PARTIES (Continued)

      Saldo dan Transaksi Dengan Pihak Berelasi                              Balances and Transactions with Related Parties
      (Lanjutan)                                                             (Continued)

      d.      Investasi pada entitas asosiasi                                d.    Investment in associate

                                           30 September/                31 Desember/
                                         September 30, 2024             December 31,
                                           (Tidak Diaudit/              2023 (Diaudit/
                                             Unaudited)                   Audited)
           PT Arto Investa Pramathana           20.174.223.193           16.742.611.794          PT Arto Investa Pramathana
           Persentase terhadap total                                                                       Percentage to total
                   aset                                 0,44%                       0,40%                               asset

      e.     Jaminan Perusahaan                                              e.    Corporate Guarantee

             Entitas   Induk     memberikan       jaminan                          The Parent Entity provided corporate
             perusahaan atas utang bank (Catatan 12) yang                          guarantee for bank loan (Note 12) obtained
             diperoleh BPT, Entitas Anak, dari PT Bank                             by BPT, Subsidiary, from PT Bank Victoria
             Victoria Syariah pada tahun 2022 dan                                  Syariah for 2022 and PT Bank Victoria
             PT Bank Victoria International Tbk untuk                              International Tbk for 2022 and 2021.
             tahun 2022 dan 2021.

             PT      Batavia     Prosperindo    Makmur                             PT Batavia Prosperindo Makmur provided
             memberikan jaminan perusahaan atas utang                              corporate guarantee for bank loan (Note 12)
             bank (Catatan 12) yang diperoleh BPT,                                 obtained by BPT, Subsidiary, from PT Bank
             Entitas Anak, dari PT Bank Victoria Syariah                           Victoria Syariah for 2021.
             untuk tahun 2021.

             Malacca Trust Pte. Ltd. memberikan jaminan                            Malacca Trust Pte. Ltd. provided corporate
             perusahaan atas liabilitas sewa yang diperoleh                        guarantee for lease liabilities obtained by
             BPT, Entitas Anak, dari PT Orico Balimor                              BPT, Subsidiary, PT Orico Balimor Finance
             Finance (sebelumnya PT Mizuho Balimor                                 (formerly PT Mizuho Balimor Finance).
             Finance).

39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                                 39.   SIGNIFICANT                 AGREEMENTS                   AND
                                                                             COMMITMENTS

      PT   MALACCA    TRUST                 WUWUNGAN                         PT   MALACCA     TRUST                       WUWUNGAN
      INSURANCE Tbk (MTWI)                                                   INSURANCE Tbk (MTWI)

      Entitas Induk memiliki beberapa ikatan dan                             The Parent Entity has few significant agreements
      perjanjian penting kepada pihak ketiga, sebagai                        and commitments with third parties, which are as
      berikut:                                                               follows:




                                                                 190
Page 195
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                             39.   SIGNIFICANT                 AGREEMENTS                   AND
                                                                         COMMITMENTS

      PT   MALACCA    TRUST     WUWUNGAN                                 PT   MALACCA     TRUST      WUWUNGAN
      INSURANCE Tbk (MTWI) (lanjutan)                                    INSURANCE Tbk (MTWI) (continued)


      PT International Services Pasific Cross (ISPC)                     PT International Services Pasific Cross (ISPC)

      Entitas Induk pada tanggal 2 Januari 2018,                         The Parent Entity, on January 2, 2018, entered into
      menandatangani perjanjian “Business Service”                       a "Business Service" agreement with ISPC, which
      dengan ISPC yang menyatakan bahwa ISPC akan                        states that ISPC will provide claims administration
      memberikan jasa administrasi klaim, pemasaran                      service, marketing and sales consulting, design and
      dan konsultasi penjualan, desain dan administrasi                  administration of products and advisory services
      produk serta jasa penasehat yang berhubungan                       related to various health and travel insurance
      dengan beberapa produk asuransi kesehatan dan                      products to the Parent Entity. This agreement is
      asuransi perjalanan kepada Entitas Induk.                          valid for 2 years, starting from January 1, 2018 to
      Perjanjian ini berlaku selama 2 tahun, dimulai sejak               December 31, 2019.
      tanggal 1 Januari 2018 sampai dengan tanggal
      31 Desember 2019.

      Pada tanggal 6 Januari 2020, perjanjian tersebut                   On January 6, 2020, the agreement was extended
      diperpanjang dengan masa berlaku 2 tahun, dimulai                  with a validity period of 2 years, starting from
      sejak tanggal 1 Januari 2020 sampai dengan                         January 1, 2020 to December 31, 2021.
      tanggal 31 Desember 2021.

      Pada tanggal 6 Januari 2022, perjanjian tersebut                   On January 6, 2022, the agreement was extended
      diperpanjang dengan masa berlaku 2 tahun, dimulai                  with a validity period of 2 years, starting from
      sejak tanggal 1 Januari 2022 sampai dengan                         January 1, 2022 to December 31, 2023.
      tanggal 31 Desember 2023.

      Atas jasa tersebut, Entitas Induk diharuskan                       For those services, the Parent Entity is required to
      membayar biaya jasa tahunan sebesar 10% dari                       pay annual service fee amounting to 10% from
      jumlah produksi premi bruto dan tidak melebihi                     total gross premium production and not exceeding
      Rp15.750.000.000 untuk tahun 2023 dan 2022.                        Rp15,750,000,000 for years 2023 and 2022.

      Sampai dengan tanggal penyelesaian laporan                         Until the completion date of the consolidated
      keuangan konsolidasian, perjanjian masih dalam                     financial statements, the extension of the agreement
      proses perpanjangan.                                               is still in the process.

      Entitas Induk, pada tanggal 2 Mei 2019,                            The Parent Entity, on May 2, 2019, entered into a
      menandatangani perjanjian “Business Service”                       "Business Service" agreement with ISPC, which
      dengan ISPC yang menyatakan bahwa ISPC akan                        states that ISPC will provide claims administration
      memberikan jasa administrasi klaim, pemasaran                      service, marketing and sales consulting, design and
      dan konsultasi penjualan, desain dan administrasi                  administration of products and advisory services
      produk serta jasa penasehat yang berhubungan                       related to various international health and travel
      dengan beberapa produk asuransi kesehatan dan                      insurance products to the Parent Entity. This
      asuransi perjalanan internasional kepada Entitas                   agreement is valid until December 31, 2020.
      Induk. Perjanjian ini berlaku sampai dengan
      tanggal 31 Desember 2020.



                                                             191
Page 196
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                           39.   SIGNIFICANT    AGREEMENTS                                AND
      (Lanjutan)                                                       COMMITMENTS (Continued)

      Pada tanggal 4 Januari 2021, perjanjian tersebut                 On January 4, 2021, the agreement was extended
      diperpanjang dengan masa berlaku 2 tahun, dimulai                with a validity period of 2 years, starting from
      sejak tanggal 1 Januari 2021 sampai dengan                       January 1, 2021 to December 31, 2022.
      tanggal 31 Desember 2022.

      Pada tanggal 12 Desember 2022, perjanjian                        On December 12, 2022, the agreement was
      tersebut diperpanjang dengan masa berlaku                        extended with a validity period of 1 year, starting
      1 tahun, dimulai sejak tanggal 1 Januari 2023                    from January 1, 2023 to December 31, 2023.
      sampai dengan tanggal 31 Desember 2023.

      Atas jasa tersebut, Entitas Induk diharuskan                     For those services, the Parent Entity is required to
      membayar biaya jasa fasilitas layanan sebesar                    pay service facility fee amounting to 26.975% from
      26,975% dari jumlah produksi premi reasuransi.                   total reinsurance premium production.

      Sampai dengan tanggal penyelesaian laporan                       Until the completion date of the consolidated
      keuangan konsolidasian, perjanjian masih dalam                   financial statements, the extension of the agreement
      proses perpanjangan.                                             is still in the process.

      Biaya jasa tahunan yang dibayarkan Entitas Induk                 The annual service fee paid by the Parent Entity to
      ke ISPC untuk tahun yang berakhir pada tanggal                   ISPC for the years ended December 31, 2023 and
      31 Desember 2023 dan 2022 masing-masing                          2022 amounted to Rp1,575,000,000, respectively,
      sebesar Rp1.575.000.000 dicatat sebagai bagian                   recorded as part of other underwriting expense.
      dari beban underwriting lain-lain.


      PT Administrasi Medika (AdMedika)                                PT Administrasi Medika (AdMedika)

      Entitas Induk pada tanggal 25 Maret 2021,                        The Parent Entity, on March 25, 2021, entered into
      menandatangani Perjanjian Kerjasama Jasa                         a Health Insurance Administration Services
      Administrasi     Asuransi Kesehatan    dengan                    Agreement with AdMedika, which states that
      AdMedika yang menyatakan bahwa AdMedika                          AdMedika will provide insurance administration
      akan memberikan jasa administrasi asuransi                       service to the Parent Entity. This agreement is
      kesehatan kepada Entitas Induk. Perjanjian ini                   valid for 2 years, starting from February 1, 2021 to
      berlaku selama 2 tahun, dimulai sejak tanggal                    January 31, 2023.
      1 Februari 2021 sampai dengan tanggal
      31 Januari 2023.

      Pada tanggal 28 Februari 2023, perjanjian tersebut               On February 28, 2023, the agreement was
      diperpanjang dengan masa berlaku 2 tahun, dimulai                extended with a validity period of 2 years, starting
      sejak tanggal 1 Februari 2023 sampai dengan                      from February 1, 2023 to January 31, 2025.
      tanggal 31 Januari 2025.




                                                           192
Page 197
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                           39.   SIGNIFICANT    AGREEMENTS                                AND
      (Lanjutan)                                                       COMMITMENTS (Continued)

      PT   MALACCA    TRUST     WUWUNGAN                               PT   MALACCA     TRUST      WUWUNGAN
      INSURANCE Tbk (MTWI) (Lanjutan)                                  INSURANCE Tbk (MTWI) (Continued)

      PT Fullerton Health Indonesia (FHI)                              PT Fullerton Health Indonesia (FHI)

      ISPC pada tanggal 28 September 2021,                             ISPC, on September 28, 2021, signed a partnership
      menandatangani perjanjian kerjasama service                      agreement on service agreement with FHI. This
      agreement dengan FHI. Perjanjian ini dibuat                      agreement was made with the intent and purpose of
      dengan maksud dan tujuan untuk melakukan                         collaborating with group health administration
      kerjasama layanan jasa administrasi kesehatan grup               services and risk management provided by FHI to
      dan manajemen risiko yang diberikan oleh FHI                     Participants nominated by ISPC who are entitled to
      kepada Para Peserta yang dinominasikan oleh ISPC                 health service benefits from the ISPC. The term of
      yang berhak atas manfaat layanan kesehatan dari                  this agreement is 12 months from June 1, 2021 to
      ISPC. Jangka waktu perjanjian ini adalah 12 bulan                May 31, 2022 and can be renewed automatically
      terhitung sejak tanggal 1 Juni 2021 sampai dengan                for a period of 1 year. This agreement is
      31 Mei 2022 dan dapat diperpanjang secara                        automatically renewed and extended until
      otomatis untuk jangka waktu 1 tahun. Perjanjian                  June 1, 2023.
      tersebut diperpanjang secara otomatis sampai
      dengan tanggal 1 Juni 2023.

      Perjanjian tersebut telah diperpanjang dengan                    The agreement has been extended for a period of
      jangka waktu perjanjian 1 tahun terhitung sejak                  1 year starting from June 1, 2023 and ending on
      tanggal 1 Juni 2023 dan berakhir pada tanggal                    May 31, 2024.
      31 Mei 2024.

      PT Trinity Reinsurance Brokers (TRB)                             PT Trinity Reinsurance Brokers (TRB)

      Entitas Induk, pada tanggal 15 Maret 2021,                       The Parent Entity, on March 15, 2021, signed
      menandatangani Perjanjian Kerjasama Reasuransi                   Reinsurance Agreement with PT Trinity
      dengan PT Trinity Reinsurance Brokers untuk                      Reinsurance Brokers for treaty programmes, they
      program sebagai berikut:                                         are as follows:

      Whole Account Excess of Loss ReinsuranceTreaty                   Whole Account Excess of Loss ReinsuranceTreaty
      Whole Account Quota Share and Surplus Treaty                     Whole Account Quota Share and Surplus Treaty

      TRB akan memberikan maximum cover untuk                          TRB will provide maximum cover to insurance
      produk asuransi Entitas Induk. Entitas Induk                     product of the Parent Entity. The Parent Entity is
      diwajibkan membayar premi reasuransi sebesar                     required to pay reinsurance premium amounting to
      Rp1.096.808.000. Perjanjian ini berlaku selama                   Rp1,096,808,000. This agreement is valid for
      1 tahun, dimulai sejak tanggal 1 Januari 2022                    1 year, starting from January 1, 2022 to
      sampai dengan tanggal 31 Maret 2023.                             March 31, 2023.

      Pada tanggal 1 April 2023, perjanjian tersebut                   On April 1, 2023, the agreement was extended with
      diperpanjang dengan masa berlaku 1 tahun, dimulai                a validity period of 1 year, starting from
      sejak tanggal 1 April 2023 sampai dengan tanggal                 April 1, 2023 to March 31, 2024.
      31 Maret 2024.




                                                           193
Page 198
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                          39.   SIGNIFICANT    AGREEMENTS                                AND
      (Lanjutan)                                                      COMMITMENTS (Continued)

      PT   MALACCA    TRUST     WUWUNGAN                              PT   MALACCA     TRUST      WUWUNGAN
      INSURANCE Tbk (MTWI) (Lanjutan)                                 INSURANCE Tbk (MTWI) (Continued)


      PT Victoria Insurance Tbk                                       PT Victoria Insurance Tbk

      Entitas Induk, pada tanggal 6 Maret 2023,                       The Parent Entity, on March 6, 2023, signed
      menandatangani Perjanjian Kerjasama dengan                      Reinsurance Agreement with PT Victoria Alife
      PT Victoria Alife Indonesia untuk melakukan                     Indonesia for production, development, marketing,
      kerjasama pembuatan, pengembangan, pemasaran,                   and sell of PA Plus insurance product. This
      dan penjualan Produk Asuransi PA Plus. Perjanjian               agreement is valid for 3 year, starting from
      ini berlaku selama 3 tahun, dimulai sejak tanggal               March 1, 2023 to March 31, 2026.
      1 Maret 2023 sampai dengan tanggal
      31 Maret 2026.


      BATAVIA          PROSPERINDO              ASET                  BATAVIA                PROSPERINDO                     ASET
      MANAJEMEN                                                       MANAJEMEN

      Perusahaan mengadakan kerjasama dengan bank                     The Company entered into agreements with the
      kustodian berikut ini sehubungan dengan Kontrak                 following custodian banks in connection with the
      Investasi Kolektif Reksa dana. Perusahaan                       Collective Investment Contract for the following
      bertindak sebagai manajer investasi yang                        mutual funds, whereby the Company acts as an
      mengelola kekayaan reksa dana dan memperoleh                    investment manager of the assets of the mutual
      imbalan jasa.                                                   funds and receives service fees.

      Berikut ini adalah Kontrak Investasi Kolektif                   The following is the summary of Collective
      Reksa dana yang masih berlaku sampai dengan                     Investment Contracts which are still valid until the
      tanggal terakhir pelaporan.                                     end of the reporting period.




                                                          194
Page 199
                                                            The original consolidated financial statements included herein are in
                                                                                                             Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                    PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                    AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                               INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                    FINANCIAL POSITION
Tanggal 30 September 2024                                                                As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)


 39. IKATAN DAN PERJANJIAN SIGNIFIKAN                      39.    SIGNIFICANT    AGREEMENTS                               AND
     (Lanjutan)                                                   COMMITMENTS (Continued)


                                                                                                  Maksimum Imbalan
                                                                                                  Jasa dari Nilai Aset
                                                                                                        Bersih/
      Tanggal Perjanjian/          Bank Kustodian/                   Reksa Dana/                 Maximum Fee From Net
       Date of Agreement            Custodian Bank                  Mutual Funds                      Asset Value

    1 November 1996 dan         Deutsche Bank AG                 Batavia Dana Saham                        3,00% p.a
       perubahan terakhir
       11 Oktober 2022/
       November 1, 1996
       and the latest
       amendment dated
       October 11, 2022
    4 Oktober 2006 dan          Deutsche Bank AG                 Batavia Dana Saham                        3,00% p.a
       perubahan terakhir                                          Optimal
       tanggal 11 Oktober
       2022/ October 4,
       2006 and the latest
       amendment dated
       October 11, 2022
    15 Juni 2007 dan            Deutsche Bank AG                 Batavia Dana Saham                        3,00% p.a
       perubahan terakhir                                          Syariah
       tanggal 11 Oktober
       2022/ June 15, 2007
       and the latest
       amendment dated
       October 11, 2022
    4 November 2021 dan         PT Bank Mandiri                  Batavia Saham                             3,00% p.a
       perubahan terakhir          (Persero) Tbk                   Bertumbuh
       tanggal 14 Desember
       2022/ November 4,
       2021 and the latest
       amendment dated
       December 14, 2022




                                                     195
Page 200
                                                            The original consolidated financial statements included herein are in
                                                                                                             Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                    PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                     AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                     FINANCIAL POSITION
Tanggal 30 September 2024                                                                 As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                     39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                  COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                 ASET                BATAVIA     PROSPERINDO                               ASET
      MANAJEMEN (Lanjutan)                                        MANAJEMEN (Continued)
      30 Agustus 2017 dan       PT Bank Mandiri                  Batavia Saham                             3,00% p.a
         perubahan terakhir        (Persero) Tbk                   Cemerlang
         tanggal 14 Desember
         2022/ August 30,
         2017 and the latest
         amendment dated
         December 14, 2022
      23 November 2016 dan      PT Bank Mandiri                  Batavia Saham                             3,00% p.a
         perubahan terakhir        (Persero) Tbk                   Sejahtera
         tanggal 14 Desember
         2022/ November 23,
         2016 and the latest
         amendment dated
         December 14, 2022
      15 Maret 2019 dan         PT Bank HSBC                     Batavia Saham ESG                         3,00% p.a
         perubahan terakhir        Indonesia                       Impact
         tanggal 11 Oktober
         2022/ March 15,
         2019 and the latest
         amendment dated
         October 11, 2022
      13 Februari 2014 dan      PT Bank HSBC                     Batavia LQ45 Plus                         3,00% p.a
         perubahan terakhir        Indonesia
         tanggal 11 Oktober
         2022/ February 13,
         2014 and the latest
         amendment dated
         October 11, 2022
      2 September 2021 dan      PT Bank HSBC                     Batavia Disruptive                        3,00% p.a
         perubahan terakhir        Indonesia                       Equity
         tanggal 11 Oktober
         2022/ September 2,
         2021 and the latest
         amendment dated
         October 11, 2022




                                                     196
Page 201
                                                            The original consolidated financial statements included herein are in
                                                                                                             Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                    PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                    AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                               INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                    FINANCIAL POSITION
Tanggal 30 September 2024                                                                As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                     39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                  COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                 ASET                BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                        MANAJEMEN (Continued)

                                                                                                  Maksimum Imbalan
                                                                                                  Jasa dari Nilai Aset
                                                                                                        Bersih/
       Tanggal Perjanjian/         Bank Kustodian/                   Reksa Dana/                 Maximum Fee From Net
        Date of Agreement           Custodian Bank                  Mutual Funds                      Asset Value

      6 Mei 2021 dan            PT Bank HSBC                     Batavia China Impact                      3,00% p.a
        perubahan terakhir         Indonesia                       Sharia Equity USD
        tanggal 11
        September 2023/
        May 6, 2021 and the
        latest amendment
        dated September 11,
        2023
      3 Juli 2020 dan           PT Bank HSBC                     Batavia Global ESG                        3,00% p.a
        perubahan terakhir         Indonesia                       Sharia Equity USD
        tanggal 11 Oktober
        2022/ July 3, 2020
        and the latest
        amendment dated
        October 11, 2022
      3 September 2021 dan      PT Bank HSBC                     Batavia Technology                        3,00% p.a
        perubahan terakhir         Indonesia                       Sharia Equity USD
        tanggal 11 Oktober
        2022/ September 3,
        2021 and the latest
        amendment dated
        October 11, 2022
      6 Maret 2015 dan          PT Bank Bukopin Tbk              Batavia Dana Kas                          2,00% p.a
        perubahan terakhir                                         Cemerlang
        tanggal dan
        perubahan terakhir
        tanggal
        15 Desember 2022/
        March 6, 2015 and
        the latest amendment
        dated December 15,
        2022




                                                     197
Page 202
                                                            The original consolidated financial statements included herein are in
                                                                                                             Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                    PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                    AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                               INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                    FINANCIAL POSITION
Tanggal 30 September 2024                                                                As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                     39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                  COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                 ASET                BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                        MANAJEMEN (Continued)

      12 November 2015 dan      PT Bank Central Asia             Batavia Dana Kas                          1,50% p.a
         perubahan terakhir        Tbk                             Gebyar
         tanggal dan
         perubahan terakhir
         tanggal
         15 Desember 2022/
         November 12, 2015
         and the latest
         amendment dated
         December 15, 2022
      21 Desember 2006 dan      PT Bank HSBC                     Batavia Dana Kas                          2,00% p.a
         perubahan terakhir        Indonesia                       Maxima
         tanggal dan
         perubahan terakhir
         tanggal
         11 Januari 2023/
         December 21, 2006
         and the latest
         amendment dated
         January 11, 2023
      24 Juli 2019 dan          PT Bank BJB                      Batavia Dana Kas                          1,50% p.a
         perubahan terakhir                                        Nusantara
         tanggal 14 Desember
         2022/ July 24, 2019
         and the latest
         amendment dated
         December 14, 2022
      14 Agustus 2013 dan       PT Bank HSBC                     Batavia Dana Likuid                       2,00% p.a
         perubahan terakhir        Indonesia
         tanggal 11 Oktober
         2022/ August 14,
         2013 and the latest
         amendment dated
         October 11, 2022
      27 September 2021 dan     Deutsche Bank AG                 Batavia Dana Kas                          1,50% p.a
         perubahan terakhir                                        Syariah
         tanggal 11 Oktober
         2022/ September 27,
         2021 and the latest
         amendment dated
         October 11, 2022
      30 Juli 2021/             PT Bank Rakyat                   KIK Pemupukan Dana                        0,10% p.a
         July 30, 2021             Indonesia                       Tapera Batavia
                                                                   Pasar Uang



                                                     198
Page 203
                                                             The original consolidated financial statements included herein are in
                                                                                                              Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                     PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                      39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                   COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                  ASET                BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                         MANAJEMEN (Continued)

                                                                                                   Maksimum Imbalan
                                                                                                   Jasa dari Nilai Aset
                                                                                                         Bersih/
       Tanggal Perjanjian/         Bank Kustodian/                    Reksa Dana/                 Maximum Fee From Net
        Date of Agreement           Custodian Bank                   Mutual Funds                      Asset Value

      1 Maret 2022/             PT Bank Rakyat                    KIK Pemupukan Dana                        0,10% p.a
        March 1, 2022              Indonesia                        Tapera Batavia
                                                                    Pasar Uang Syariah
      18 Februari 2014 dan      PT Bank Mandiri                   Batavia Dana Obligasi                     2,00% p.a
         perubahan terakhir        (Persero) Tbk                    Cemerlang
         tanggal 15 Desember
         2022/ February 18,
         2014 and the latest
         amendment dated
         December 15, 2022
      25 Maret 2015 dan         PT Bank DBS                       Batavia Dana Obligasi                     2,00% p.a
         perubahan terakhir        Indonesia                        Optimal
         tanggal 15 Desember
         2022/ March 25,
         2015 and the latest
         amendment dated
         December 15, 2022
      3 Juli 2012 dan           Standard Chartered                Batavia Dana Obligasi                     1,00% p.a
         perubahan terakhir        Bank Indonesia                   Plus
         tanggal 15 Desember
         2022/ July 3, 2012
         and the latest
         amendment dated
         December 15, 2022
      17 Maret 2015 dan         Standard Chartered                Batavia Dana Obligasi                     2,00% p.a
         perubahan terakhir        Bank Indonesia                   Sejahtera
         tanggal 15 Desember
         2022/ March 17,
         2015 and the latest
         amendment dated
         December 15, 2022
      16 Januari 2007 dan       Standard Chartered                Batavia Dana Obligasi                     2,00% p.a
         perubahan terakhir        Bank Indonesia                   Ultima
         tanggal 11 Oktober
         2022/ January 16,
         2007 and the latest
         amendment dated
         October 11, 2022



                                                      199
Page 204
                                                             The original consolidated financial statements included herein are in
                                                                                                              Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                     PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                      39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                   COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                  ASET                BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                         MANAJEMEN (Continued)

                                                                                                   Maksimum Imbalan
                                                                                                   Jasa dari Nilai Aset
                                                                                                         Bersih/
      Tanggal Perjanjian/          Bank Kustodian/                    Reksa Dana/                 Maximum Fee From Net
       Date of Agreement            Custodian Bank                   Mutual Funds                      Asset Value

      8 Februari 2018 dan       PT Bank Mega Tbk                  Batavia Obligasi                          2,00% p.a
        perubahan terakhir                                          Bertumbuh
        tanggal 14 Desember
        2022/ February 8,
        2018 and the latest
        amendment dated
        December 14, 2022
      7 Juli 2017 dan           PT Bank HSBC                      Batavia Obligasi                          2,00% p.a
        perubahan terakhir         Indonesia                        Platinum Plus
        tanggal 4 Januari
        2023/ July 7, 2017
        and the latest
        amendment dated
        January 4, 2023
      11 Oktober 2017 dan       PT Bank DBS                       Batavia Obligasi                          1,00% p.a
        perubahan terakhir         Indonesia                        Utama
        tanggal 14 Desember
        2022/ October 11,
        2017 and the latest
        amendment dated
        December 14, 2022
      15 Agustus 2016 dan       PT Bank Mega Tbk                  Batavia Pendapatan                        2,00% p.a
        perubahan terakhir                                          Tetap Utama
        tanggal 15 Desember                                         Syariah
        2022/ August 15,
        2016 and the latest
        amendment dated
        December 15, 2022
      12 Desember 2011          PT Bank Permata Tbk               Batavia Prima                             1,00% p.a
        dan perubahan                                               Obligasi
        terakhir
        tanggal 15 Desember
        2022/ December 12,
        2011 and the latest
        amendment dated
        December 15, 2022




                                                      200
Page 205
                                                            The original consolidated financial statements included herein are in
                                                                                                             Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                    PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                     AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                     FINANCIAL POSITION
Tanggal 30 September 2024                                                                 As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                     39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                  COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                 ASET                BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                        MANAJEMEN (Continued)

      23 Januari 2022 dan       PT Bank HSBC                     Batavia USD Bond                          1,50% p.a
         perubahan terakhir        Indonesia                       Fund
         tanggal 11 Oktober
         2022/ January 23,
         2022 and the latest
         amendment dated
         October 11, 2022
      27 November 2006 dan      Standard Chartered               Si Dana Obligasi                          2,00% p.a
         perubahan terakhir        Bank Indonesia                  Maxima
         tanggal 14 Desember
         2022/ November 27,
         2006 and the latest
         amendment dated
         December 14, 2022
      28 September 2021/        PT Bank Rakyat                   KIK Pemupukan Dana                        0,20% p.a
         September 28, 2021        Indonesia                       Tapera Batavia
                                                                   Pendapatan Tetap
      22 November 2021/         PT Bank Rakyat                   KIK Pemupukan Dana                        0,10% p.a
         November 22, 2021         Indonesia                       Tapera Batavia
                                                                   Pendapatan Tetap
                                                                   Tanpa Penjualan
                                                                   Kembali
      28 Desember 2018/         PT Bank Bukopin Tbk              Batavia Infrastruktur 2                   2,00% p.a
         December 28, 2018
      10 Mei 2019/May 10,       PT Bank Bukopin Tbk              Batavia Infrastruktur 3                   2,00% p.a
         2019
      7 Oktober 2022/           PT Bank HSBC                     Batavia Campuran                          3,00% p.a
         October 7, 2022           Indonesia                       Cemerlang
      12 April 2002 dan         Deutsche Bank AG                 Batavia Dana Dinamis                      3,00% p.a
         perubahan terakhir
         tanggal 11 Oktober
         2022/ April 12, 2002
         and the latest
         amendment dated
         October 11, 2022
      6 Februari 2020 dan       PT Bank HSBC                     Batavia Providentia                       2,00% p.a
         perubahan terakhir        Indonesia                       Balanced Fund
         tanggal 14 Desember
         2022/ February 6,
         2020 and the latest
         amendment dated
         December 14, 2022




                                                     201
Page 206
                                                            The original consolidated financial statements included herein are in
                                                                                                             Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                    PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                     AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                     FINANCIAL POSITION
Tanggal 30 September 2024                                                                 As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                     39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                  COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                 ASET                BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                        MANAJEMEN (Continued)

                                                                                                  Maksimum Imbalan
                                                                                                  Jasa dari Nilai Aset
                                                                                                        Bersih/
       Tanggal Perjanjian/         Bank Kustodian/                   Reksa Dana/                 Maximum Fee From Net
        Date of Agreement           Custodian Bank                  Mutual Funds                      Asset Value

      7 Oktober 2022/           PT Bank HSBC                     Batavia Campuran                          3,00% p.a
         October 7, 2022           Indonesia                       Cemerlang
      12 April 2002 dan         Deutsche Bank AG                 Batavia Dana Dinamis                      3,00% p.a
         perubahan terakhir
         tanggal 11 Oktober
         2022/ April 12, 2002
         and the latest
         amendment dated
         October 11, 2022
      6 Februari 2020 dan       PT Bank HSBC                     Batavia Providentia                       2,00% p.a
         perubahan terakhir        Indonesia                       Balanced Fund
         tanggal 14 Desember
         2022/ February 6,
         2020 and the latest
         amendment dated
         December 14, 2022
      18 November 2015 dan      Standard Chartered               Batavia Proteksi                          5,00% p.a
         perubahan terakhir        Bank Indonesia                  Cemerlang Plus
         30 Maret 2022/
         November 18 , 2015
         and the latest
         amendment dated
         March 30, 2022
      6 Agustus 2014 dan        PT Bank Mega Tbk                 Batavia Proteksi                          2,50% p.a
         perubahan terakhir                                        Gemilang 9
         17 Mei 2022/
         August 6, 2014 and
         the latest amendment
         dated May 17, 2022
      22 Agustus 2014 dan       PT Bank HSBC                     Batavia Proteksi                          3,00% p.a
         perubahan terakhir        Indonesia                       Gemilang 16
         tanggal 20 Januari
         2015/ August 22,
         2014 and the latest
         amendment dated
         January 20, 2015




                                                     202
Page 207
                                                               The original consolidated financial statements included herein are in
                                                                                                                Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                       PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                        AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                   INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                        FINANCIAL POSITION
Tanggal 30 September 2024                                                                    As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                        39.    SIGNIFICANT    AGREEMENTS                               AND
      (Lanjutan)                                                     COMMITMENTS (Continued)

      BATAVIA     PROSPERINDO                   ASET                 BATAVIA     PROSPERINDO                                ASET
      MANAJEMEN (Lanjutan)                                           MANAJEMEN (Continued)
      4 September 2019/          PT Bank HSBC                       Batavia Proteksi                          5,00% p.a
        September 4, 2019           Indonesia                         Maxima 16
      8 Mei 2020 dan             PT Bank Central Asia               Batavia Proteksi                          5,00% p.a
        perubahan terakhir          Tbk                               Maxima 25
        30 Maret 2022/May
        8, 2020 and the
        latest amendment
        dated March 30,
        2022
      3 Desember 2020 dan        PT Bank DBS                        Batavia Proteksi                          5,00% p.a
        perubahan terakhir          Indonesia                         Maxima 31
        30 Maret 2022/
        December 3 , 2020
        and the latest
        amendment dated
        March 30, 2022
      8 Januari 2021 dan         PT Bank HSBC                       Batavia Proteksi                          5,00% p.a
        perubahan terakhir          Indonesia                         Maxima 32
        30 Maret 2022/
        January 8, 2021 and
        the latest amendment
        dated March 30,
        2022
      14 Maret 2022/             PT Bank Danamon                    Batavia Proteksi                          5,00% p.a
        March 14, 2022              Tbk                               Maxima 39
      21 Oktober 2022/           PT Bank Central Asia               Batavia Proteksi                          5,00% p.a
        October 21, 2022            Tbk                               Maxima 50
      9 Februari 2023/           PT Bank Central Asia               Batavia Proteksi                          5,00% p.a
        February 9, 2023            Tbk                               Maxima 51
      20 Maret 2018/             PT Bank DBS                        Batavia Proteksi                          5,00% p.a
        March 20, 2018              Indonesia                         Ultima 11
      6 Juni 2018 dan            PT Bank DBS                        Batavia Proteksi                          5,00% p.a
        perubahan                   Indonesia                         Ultima 21
        terakhir30 Maret
        2022/June 6, 2018
        and the latest
        amendment dated
        March 30, 2022

      Perusahaan mengadakan kerjasama dengan bank                    The Company entered into agreements with the
      kustodian berikut ini sehubungan dengan Kontrak                following custodian banks in connection with the
      Investasi Kolektif Reksa dana. Perusahaan                      Collective Investment Contract for the following
      bertindak sebagai manajer investasi yang                       mutual funds, whereby the Company acts as an
      mengelola kekayaan reksa dana dan memperoleh                   investment manager of the assets of the mutual
      imbalan jasa.                                                  funds and receives service fees.


                                                        203
Page 208
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


39.   IKATAN DAN PERJANJIAN SIGNIFIKAN                             39.   SIGNIFICANT    AGREEMENTS                                AND
      (Lanjutan)                                                         COMMITMENTS (Continued)

      BATAVIA PROSPERINDO TRANS Tbk (BPT)                                BATAVIA PROSPERINDO TRANS Tbk (BPT)

      Perjanjian dengan pelanggan                                        Agreements with the customers

      Grup mengadakan perjanjian dengan seluruh                          The Group entered into agreements with all of its
      pelanggannya untuk transaksi sewa kendaraan.                       customers for vehicle rent. Based on the
      Berdasarkan perjanjian tersebut, Grup setuju untuk                 agreements, the Group agreed to deliver vehicle
      memberikan jasa sewa kendaraan selama periode                      rent services for certain period with fixed
      tertentu dengan nilai transaksi yang sudah                         transaction amount. In addition, the agreement
      ditetapkan. Selain itu, perjanjian tersebut mengatur               also states the responsibility of the Group and
      mengenai tanggung jawab masing-masing dari                         customers.
      Grup dan pelanggan.

      Pada awal tahun 2022, Grup memiliki kebijakan                      The Group have a new policy beginning 2022, that
      baru yang mengharuskan pelanggan untuk                             requires customers to provide deposits in advance,
      melakukan deposit terlebih dahulu khususnya                        especially for new customers who are considered
      untuk pelanggan baru yang dinilai oleh manajemen                   by management to have a higher risk of asset
      memiliki risiko yang lebih tinggi atas kerusakan                   damage.
      aset.

      Perjanjian akan berakhir jika:                                     This agreement shall be terminated if:

      a.   Terdapat      kesepakatan     tertulis   untuk                a.    Written agreement made to terminate the
           mengakhiri perjanjian;                                              agreement;
      b.   Periode sewa telah berakhir;                                  b.    The lease period has expired;
      c.   Pelanggan mengakhiri perjanjian sebelum                       c.    Customers terminate the agreement before the
           sewa berakhir;                                                      lease period expire;
      d.   Salah     satu    pihak    tidak      memenuhi                d.    Either party does not fulfill its obligations in
           kewajibannya sesuai dengan yang dituangkan                          accordance with the agreement and such
           di dalam perjanjian dan kelalaian tersebut                          negligence has been notified by either party in
           telah diperingatkan oleh salah satu secara                          written for 3 (three) consecutive times, the
           tertulis sebanyak 3 (tiga) kali berturut-turut,                     injured party is entitled to terminate this
           pihak yang dirugikan berhak mengakhiri                              agreement unilaterally by submitting a written
           perjanjian ini secara sepihak dengan                                notice.
           memberikan pemberitahuan tertulis.

40.   KONTRAK REASURANSI                                           40.   REINSURANCE CONTRACT

      PT Malacca Trust Wuwungan Insurance Tbk                            PT Malacca Trust Wuwungan Insurance Tbk
      (MTWI)                                                             (MTWI)

      Dalam     rangka     manajemen       risiko   atas                 In relation to the risk management of large
      pertanggungan asuransi yang bernilai besar dan                     amounts of insurance coverage and special risks,
      mempunyai risiko khusus, MTWI, Entitas Anak,                       MTWI, Subsidiary, which engages in insurance
      yang bergerak dalam bidang asuransi mengadakan                     activities entered into proportional and non-
      kontrak reasuransi baik yang bersifat proporsional                 proportional reinsurance contracts with several
      maupun non-proporsional dengan beberapa                            insurance and reinsurance companies.
      perusahaan asuransi dan reasuransi.


                                                             204
Page 209
                                                                       The original consolidated financial statements included herein are in
                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


40.   KONTRAK REASURANSI (Lanjutan)                                   40.   REINSURANCE CONTRACT (Continued)

      PT Malacca Trust Wuwungan Insurance Tbk                               PT Malacca Trust Wuwungan Insurance Tbk
      (MTWI)                                                                (MTWI)

      Program reasuransi untuk tahun 2023 adalah                            Reinsurance programs in 2023 are as follows:
      sebagai berikut:

      a.    Program Reasuransi Proporsional Treaty                          a.    Proportional Treaty Reinsurance Program

                                                            2023
                                      Program Treaty untuk setiap kerugian dan setiap
                                         resiko/Treaty program for each loss and risk
                              Retensi sendiri/         Reasuransi/                 Total/
      Jenis tertanggung       Own retention            Reinsurance                Amount                           Type of coverage

      Surplus                                                                                                               Surplus
      Rupiah Indonesia                                                                                             Indonesia Rupiah
        Kebakaran              10.000.000.000           240.000.000.000           250.000.000.000                             Fire
        Rekayasa               10.000.000.000            90.000.000.000           100.000.000.000                     Engineering
        Pengangkutan            4.000.000.000            40.000.000.000            44.000.000.000                           Cargo
        Kecelakaan diri         4.000.000.000            40.000.000.000            44.000.000.000                Personal accident
        Kendaraan bermotor        500.000.000            10.000.000.000            10.500.000.000                    Motor vehicle

      Quota share                                                                                                       Quota share
      Rupiah Indonesia                                                                                            Indonesian Rupiah
       Kebakaran                2.000.000.000             8.000.000.000            10.000.000.000                             Fire
       Rekayasa                 2.000.000.000             8.000.000.000            10.000.000.000                     Engineering
       Pengangkutan             8.000.000.000             2.000.000.000            10.000.000.000                           Cargo
       Kecelakaan diri          2.000.000.000             2.000.000.000             4.000.000.000                Personal accident


      b.    Program Reasuransi      Non-proporsional        -               b.    Non-proportional Reinsurance Program –
            Excess of Loss                                                        Excess of Loss

                                                             2023
                                       Program Treaty untuk setiap kerugian dan setiap
                                          resiko/Treaty program for each loss and risk
                               Retensi sendiri/         Reasuransi/                 Total/
       Jenis tertanggung       Own retention            Reinsurance                Amount                         Type of coverage

       Rupiah Indonesia                                                                                         Indonesian Rupiah
        Kebakaran               2.000.000.000            98.000.000.000           100.000.000.000                           Fire
        Pengangkutan            2.000.000.000            98.000.000.000           100.000.000.000                         Cargo
        Kecelakaan diri         2.000.000.000            98.000.000.000           100.000.000.000              Personal accident
        Rekayasa                2.000.000.000            98.000.000.000           100.000.000.000                   Engineering

            Risiko-risiko yang tidak termasuk dalam                               The risks which are not included in
            kontrak reasuransi di atas ditawarkan secara                          reinsurance contracts above are offered
            fakultatif kepada perusahaan reasuransi.                              facultatively to reinsurance companies.




                                                                205
Page 210
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


41.   SEGMEN OPERASI                                               41.   OPERATING SEGMENTS

      Informasi yang dilaporkan kepada manajemen                         Information reported to management for the
      untuk tujuan alokasi sumber daya dan penilaian                     purpose of resources allocation and assessment of
      kinerja segmen difokuskan pada jenis produk atau                   segment performance focuses on type of products
      jasa yang diberikan atau disediakan. Segmen yang                   or services delivered or provided. Group’s
      dilaporkan Grup merupakan kegiatan sebagai                         reportable segments are engaged in the following
      berikut:                                                           activities:

      a.      Manajemen investasi                                        a.    Investment management
      b.      Pembiayaan (dihentikan)                                    b.    Financing (discontinued)
      c.      Jasa transportasi                                          c.    Transportation service
      d.      Asuransi umum                                              d.    General insurance
      e.      Perantara perdagangan efek dan penjaminan                  e.    Brokerage and underwriting
              emisi efek

      Pendapatan dan Hasil Segmen                                        Segment Revenue and Result

      Berikut ini merupakan analisa pendapatan dan hasil                 The following is an analysis of the Group’s revenue
      segmen Grup berdasarkan segmen dilaporkan:                         and results by reportable segments:

                                                      Pendapatan Segmen/
                                                        Segmen Revenue
                                              30 September/            30 September/
                                            September 30, 2024       September 30, 2023
                                              (Tidak Diaudit/          (Tidak Diaudit/
                                                Unaudited)               Unaudited)
           Manajemen investasi                   310.064.375.974        328.761.902.558            Investment management
           Jasa transportasi                     399.348.161.048        341.597.131.596             Transportation service
           Asuransi umum                          98.469.249.419          42.868.883.106                General insurance
           Perantara perdagangan efek dan
               penjaminan emisi                   7.025.132.364               77.539.539       Brokerage and underwriting
           Jasa Konsultasi Manajemen             11.648.739.741           (2.902.772.012)      Jasa Konsultasi Manajemen
           Lainnya                               12.036.607.625           (9.982.552.241)                         Others
           Total                                838.592.266.171          700.420.132.546                                Total

                                               Laba (Rugi) Sebelum Pajak Segmen/
                                             Segment Profit (Loss) Before Income Tax
                                              30 September/            30 September/
                                            September 30, 2024       September 30, 2023
                                              (Tidak Diaudit/          (Tidak Diaudit/
                                                Unaudited)               Unaudited)
           Manajemen investasi                    72.285.985.518          91.136.983.779           Investment management
           Jasa transportasi                      47.526.206.373          52.689.859.168            Transportation service
           Asuransi umum                          49.803.779.296          12.263.473.722                General insurance
           Perantara perdagangan efek dan
               penjaminan emisi                   6.812.716.765             (278.044.832)      Brokerage and underwriting
           Jasa Konsultasi Manajemen             10.242.156.306           (2.975.790.790)      Jasa Konsultasi Manajemen
           Lainnya                               (5.491.319.341)         (15.418.698.317)                         Others
           Total                                181.179.524.917          137.417.782.730                                Total




                                                             206
Page 211
                                                                The original consolidated financial statements included herein are in
                                                                                                                 Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                        PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


41.   SEGMEN OPERASI (Lanjutan)                                41.     OPERATING SEGMENTS (Continued)

      Pendapatan dan Hasil Segmen (Lanjutan)                           Segment Revenue and Result (Continued)

                                                Laba (Rugi) Segmen/
                                            Segment Profit (Loss) After Tax
                                         30 September/             30 September/
                                       September 30, 2024        September 30, 2023
                                         (Tidak Diaudit/           (Tidak Diaudit/
                                           Unaudited)                Unaudited)
      Manajemen investasi                    55.492.528.506           69.192.109.876             Investment management
      Jasa transportasi                      35.615.051.642           36.460.239.898              Transportation service
      Asuransi umum                          49.803.779.296           12.263.473.722                  General insurance
      Perantara perdagangan efek dan
          penjaminan emisi                   6.812.716.765                 (278.044.832)    Brokerage and underwriting
      Jasa Konsultasi Manajemen             10.242.156.306               (2.975.790.790)    Jasa Konsultasi Manajemen
      Lainnya                              (15.733.475.647)             (15.349.035.261)                       Others
      Total                                142.232.756.868              99.312.952.613                                 Total

      Pendapatan segmen yang dilaporkan di atas                        Segment revenue reported above represents
      merupakan pendapatan yang dihasilkan dari pihak                  revenue generated from third parties. There were
      ketiga. Tidak terdapat pendapatan antar segmen.                  no inter-segment sales.

      Laba segmen merupakan laba yang diperoleh setiap                 Segment profit represents the profit earned by each
      segmen tanpa mengalokasikan penghasilan (beban)                  segment without allocation of other income
      lainlain dan beban pajak. Hal ini merupakan                      (expense) and tax expense. This is the measure
      pengukuran yang dilaporkan kepada manajemen                      reported to the management as the operating
      sebagai pengambil keputusan operasional untuk                    decision maker for the purposes of resource
      tujuan alokasi sumber daya dan penilaian kinerja                 allocation and assessment of segment performance.
      segmen.

      Aset dan Liabilitas Segmen                                       Segment Assets and Liabilities

                                         30 September/                31 Desember/
                                       September 30, 2024             December 31,
                                         (Tidak Diaudit/              2023 (Diaudit/
                                           Unaudited)                   Audited)

      Aset Segmen                                                                                        Segment Assets
      Manajemen investasi                   204.360.864.137            224.566.159.332           Investment management
      Jasa transportasi                   1.919.048.773.577          1.528.536.933.453            Transportation service
      Asuransi umum                       1.692.099.704.277          1.627.392.898.121                General insurance
      Perantara perdagangan dan
          penjaminan emisi efek              10.522.832.258               3.737.865.493     Brokerage and underwriting
      Lainnya                             2.396.892.978.852           1.990.730.121.441                        Others
      Total                               6.222.925.153.101           5.374.963.977.840                          Total
      Eliminasi                          (1.634.572.017.549)         (1.217.188.630.814)                   Elimination
      Konsolidasian                       4.588.353.135.553          4.157.775.347.026                       Consolidated

                                                         207
Page 212
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


41.   SEGMEN OPERASI (Lanjutan)                                  41.    OPERATING SEGMENTS (Continued)

      Aset dan Liabilitas Segmen (Lanjutan)                             Segment Assets and Liabilities (Continued)

                                         30 September/                 31 Desember/
                                       September 30, 2024              December 31,
                                         (Tidak Diaudit/               2023 (Diaudit/
                                           Unaudited)                    Audited)
      Liabilitas Segmen                                                                                    Segment Assets
      Manajemen investasi                   83.148.637.415                68.846.461.116           Investment management
      Jasa transportasi                  1.381.728.734.189             1.027.567.191.080            Transportation service
      Asuransi umum                      1.361.612.567.519             1.346.709.540.655                General insurance
      Perantara perdagangan dan
          penjaminan emisi efek                 63.896.922                    91.646.922      Brokerage and underwriting
      Lainnya                              146.540.604.571                70.411.494.133                         Others
      Total                              2.973.094.440.616             2.513.626.333.906                           Total
      Eliminasi                            (52.344.459.708)               (1.844.375.300)                    Elimination
      Konsolidasian                      2.920.749.980.908             2.511.781.958.606                       Consolidated

      Untuk tujuan pengawasan kinerja segmen dan                        For the purpose of monitoring segment
      pengalokasian sumber daya di antara segmen,                       performance and allocating resources between
      seluruh aset dan liabilitas dialokasikan ke segmen                segments, all assets and liabilities are allocated to
      dilaporkan.                                                       reportable segments.

      Grup mempertimbangkan untuk tidak mengajukan                      The Group considered not presenting the revenue
      pendapatan per pelanggan eksternal per lokasi                     from external customers by location of operation
      operasi dan informasi terkait aset per lokasi aset                and information by location of operations and its
      karena Grup hanya beroperasi di Indonesia.                        assets by location, since the Group only operates in
                                                                        Indonesia.


42.   INSTRUMEN KEUANGAN                                         42.    FINANCIAL INSTRUMENTS

      Tabel di bawah ini adalah perbandingan nilai                      The table below is a comparison by class of the
      tercatat dan nilai wajar dari instrumen keuangan                  carrying amounts and fair value of the Group’s
      Grup yang dicatat di laporan keuangan                             financial instruments that are carried in the
      konsolidasian.                                                    consolidated financial statements.




                                                           208
Page 213
                                                                         The original consolidated financial statements included herein are in
                                                                                                                          Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                 PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                                     42.   FINANCIAL INSTRUMENTS (Continued)

                                           30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                   Nilai Tercatat/                 Nilai Wajar/
                                                  Carrying Amount                   Fair Value
      ASET KEUANGAN                                                                                                     FINANCIAL ASSETS
      Aset keuangan diukur pada                                                                                            Financial assets at
       biaya perolehan amortisasi:                                                                                            amortized cost:
         Kas dan setara kas                               241.431.832.989               241.431.832.989            Cash and cash equivalents
         Portofolio efek                                                                                                Marketable securities
         Pihak ketiga                                     653.806.491.834               653.806.491.834                         Third parties
         Piutang sewa operasi                                                                                     Operating lease receivables
         Pihak ketiga - neto                               64.420.482.421                64.420.482.421                   Third parties - net
         Piutang nasabah                                                                                         Receivables from customers
         Pihak ketiga                                       8.438.670.116                 8.438.670.116                        Third parties
         Pihak berelasi                                    30.052.411.561                30.052.411.561                     Related parties
         Piutang premi - neto                             317.006.812.674               317.006.812.674          Premiums receivables - net
         Piutang reasuransi                               185.099.249.204               185.099.249.204               Due from reinsurance
         Piutang lain-lain - pihak                                                                                        Other receivables
         ketiga                                            77.247.836.205                77.247.836.205                        third parties
         Aset lain-lain                                    10.288.659.420                10.288.659.420                          Other assets
        Aset keuangan yang diukur pada                                                                           Financial assets at fair value
         nilai wajar melalui laba rugi:                                                                                through profit or loss:
         Portofolio efek                                                                                                Marketable securities
         Pihak berelasi                                   244.465.341.507               244.465.341.507                      Related parties
        Aset keuangan yang diukur pada                                                                                     Financial assets at
         nilai wajar melalui penghasilan                                                                            fair value through other
         komprehensif lain:                                                                                          comprehensive income:
         Penyertaan saham                                   1.538.100.000                 1.538.100.000                  Investment in shares
        Total aset keuangan                             1.833.795.887.931             1.833.795.887.931                  Total financial assets

        LIABILITAS KEUANGAN                                                                                      FINANCIAL LIABILITIES
        Liabilitas keuangan yang                                                                                Financial liabilities measured
        dicatat                                                                                                            at amortized cost:
         berdasarkan biaya perolehan
         diamortisasi:
         Utang bank                                       931.191.990.586               931.191.990.586                           Bank loans
         Utang nasabah                                     37.869.431.432                37.869.431.432               Payables to customers
         Utang klaim                                                                                                         Claims payables
         Pihak ketiga                                      28.569.245.030                28.569.245.030                        Third parties
         Utang reasuransi                                 353.603.306.313               353.603.306.313                  Due to reinsurance
         Utang koasuransi                                   5.639.731.794                 5.639.731.794                  Due to coinsurance
         Utang komisi                                      54.443.292.523                54.443.292.523               Commissions payables
         Utang lain-lain                                                                                                      Other payables
         Pihak ketiga                                      71.803.549.254                71.803.549.254                        Third parties
         Beban akrual                                                                                                      Accrued expenses
         Pihak ketiga                                      38.338.369.703                38.338.369.703                        Third parties
         Liabilitas sewa                                  440.761.195.619               440.761.195.619                       Lease liabilities
        Total liabilitas keuangan                       1.962.220.112.254             1.962.220.112.254              Total financial liabilities



                                                                  209
Page 214
                                                                      The original consolidated financial statements included herein are in
                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                                  42.   FINANCIAL INSTRUMENTS (Continued)

                                         31 Desember/ December 31, 2023 (Diaudit/ Audited)
                                              Nilai Tercatat/            Nilai Wajar/
                                             Carrying Amount              Fair Value
  ASET KEUANGAN                                                                                             FINANCIAL ASSETS
  Aset keuangan diukur pada                                                                                     Financial assets at
   biaya perolehan amortisasi:                                                                                     amortized cost:
       Kas dan setara kas                         361.428.478.152           361.428.478.152             Cash and cash equivalents
       Portofolio efek                                                                                       Marketable securities
       Pihak ketiga                               759.310.048.208           759.310.048.208                          Third parties
       Piutang sewa operasi                                                                            Operating lease receivables
       Pihak ketiga - neto                         31.398.231.762            31.398.231.762                    Third parties - net
       Piutang nasabah                                                                                Receivables from customers
       Pihak ketiga                                 8.709.939.343             8.709.939.343                         Third parties
       Pihak berelasi                              27.831.686.930            27.831.686.930                      Related parties
       Piutang premi - neto                       338.037.348.148           338.037.348.148           Premiums receivables - net
       Piutang reasuransi                         100.091.820.676           100.091.820.676                Due from reinsurance
       Piutang lain-lain - pihak                                                                               Other receivables
       ketiga                                      15.304.817.853            15.304.817.853                         third parties
       Pendapatan yang belum                                                                                   Unbilled revenues
       ditagih                                     13.102.843.847            13.102.843.847
       Aset lain-lain                               2.309.214.635             2.309.214.635                            Other assets
      Aset keuangan yang diukur pada                                                                   Financial assets at fair value
       nilai wajar melalui laba rugi:                                                                       through profit or loss:
       Portofolio efek                                                                                       Marketable securities
       Pihak berelasi                             160.854.429.010           160.854.429.010                        Related parties
      Aset keuangan yang diukur pada                                                                             Financial assets at
       nilai wajar melalui penghasilan                                                                    fair value through other
       komprehensif lain:                                                                                  comprehensive income:
       Penyertaan saham                              2.163.100.000             2.163.100.000                   Investment in shares
      Total aset keuangan                        1.818.378.858.564         1.818.378.858.564                   Total financial assets

      LIABILITAS KEUANGAN                                                                              FINANCIAL LIABILITIES
      Liabilitas keuangan yang                                                                        Financial liabilities measured
      dicatat                                                                                                    at amortized cost:
       berdasarkan biaya perolehan
       diamortisasi:
       Utang bank                                 503.828.623.170           503.828.623.170                              Bank loans
       Utang nasabah                               21.617.797.563            21.617.797.563                  Payables to customers
       Utang klaim                                                                                                  Claims payables
       Pihak ketiga                                68.667.534.884            68.667.534.884                           Third parties
       Utang reasuransi                           297.468.174.885           297.468.174.885                     Due to reinsurance
       Utang koasuransi                             6.051.199.999             6.051.199.999                     Due to coinsurance
       Utang komisi                                52.812.146.360            52.812.146.360                  Commissions payables
       Utang lain-lain                                                                                               Other payables
       Pihak ketiga                                62.381.836.346            62.381.836.346                           Third parties
       Beban akrual                                                                                               Accrued expenses
       Pihak ketiga                                 20.831.560.224            20.831.560.224                          Third parties
       Liabilitas sewa                             493.239.361.586           493.239.361.586                         Lease liabilities
      Total liabilitas keuangan                  1.033.658.873.431         1.033.658.873.431                Total financial liabilities




                                                               210
Page 215
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                              42.   FINANCIAL INSTRUMENTS (Continued)

      Berikut metode dan asumsi yang digunakan untuk                   The following methods and assumptions are used
      estimasi nilai wajar:                                            to estimate the fair value:

      -    Untuk kas dan setara kas, deposito berjangka,               -     The carrying amount of cash and cash
           piutang sewa operasi pihak ketiga -, piutang                      equivalents, time deposits, operating lease
           nasabah - pihak ketiga dan pihak berelasi,                        receivables - third parties -, receivables from
           piutang premi - neto, piutang reasuransi,                         customers - third parties and related parties,
           piutang lain-lain - pihak ketiga, pendapatan                      premium receivables - net, due from
           yang belum ditagih, utang usaha jasa                              reinsurance, other receivables - third parties,
           transportasi, utang nasabah, utang klaim -                        unbilled     revenues,      trade      payables
           pihak ketiga, utang reasuransi, utang                             transportation, and guarantee institution,
           koasuransi, utang komisi, utang lain-lain -                       claims payables - third parties, due to
           pihak ketiga dan beban akrual - pihak ketiga,                     reinsurance,      due      to      coinsurance,
           nilai tercatat aset dan liabilitas telah                          commissions payables, other payables - third
           mendekati estimasi nilai wajarnya karena                          parties and accrued expenses - third parties,
           jatuh tempo dalam jangka pendek.                                  approximate their estimated fair market
                                                                             values due to the short-term nature of the
                                                                             transaction.

      -    Untuk aset lain-lain, nilai wajarnya dicatat                -     The value of other assets is normally
           secara historis karena nilai wajarnya tidak                       recorded historically because the fair value
           dapat diukur secara handal dan tidak praktis                      cannot be reliably measured and it is not
           untuk mengestimasi nilai wajar dari aset                          practical to estimate the values of the assets
           tersebut karena tidak ada jangka waktu                            because there is no definite acceptance
           penerimaan yang pasti.                                            period.

      -    Untuk portofolio efek dicatat sebesar nilai                 -     Marketable securities are carried at fair
           wajar mengacu pada harga kuotasi yang                             value using the quoted prices published in the
           dipublikasikan pada pasar aktif.                                  active market.

      -    Penyertaan dalam saham biasa yang tidak                     -     Investment in other unquoted ordinary shares
           memiliki kuotasi pasar dengan kepemilikan                         representing equity ownership interest of
           saham di bawah 20% dicatat pada biaya                             below 20% are carried at cost as their fair
           perolehan karena nilai wajarnya tidak dapat                       values can not be reliably measured.
           diukur secara handal.

      -    Untuk utang bank dan pinjaman pihak ketiga                  -     The value of bank loans and third party loan
           nilai wajar mendekati nilai tercatat karena                       normally recorded approximately their
           tingkat suku bunganya dinilai ulang secara                        carrying values largely due to their interest
           berkala.                                                          rates are frequently repriced.




                                                           211
Page 216
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                               42.   FINANCIAL INSTRUMENTS (Continued)

      Berikut metode dan asumsi yang digunakan untuk                    The following methods and assumptions are used
      estimasi nilai wajar: (Lanjutan)                                  to estimate the fair value: (Continued)

      -    Nilai wajar dari efek utang yang diterbitkan                 -     Fair value of debt securities issued are
           ditentukan dengan mendiskontokan arus kas                          determined based on discounted future cash
           masa datang yang disesuaikan untuk                                 flows adjusted to reflect the Group’s credit
           mencerminkan       risiko    kredit    Grup                        risk using market rates.
           menggunakan suku bunga pasar.

      -    Liabilitas sewa diukur sebesar nilai kini dari               -     Lease liabilities are measured at the present
           pembayaran kontraktual lessor selama masa                          value of the contractual payments due to the
           sewa, dengan tingkat diskonto yang                                 lessor over the lease term, with the discount
           ditentukan dengan mengacu pada tarif                               rate determined by reference to the rate
           implisit dalam sewa kecuali hal ini tidak                          implicit in the lease unless this is not readily
           dapat segera ditentukan, dalam hal ini, bunga                      determinable, in which case, the Group’s
           pinjaman inkremental Grup saat dimulainya                          incremental        borrowing        rate     on
           sewa digunakan.                                                    commencement of the lease is used.

      Hirarki pengukuran nilai wajar atas aset dan                      Fair value measurement hierarchy                      of    the
      liabilitas Perusahaan                                             Company’s assets and liabilities

      Tabel berikut ini merangkum nilai wajar aset dan                  The following tables summarize the fair values of
      liabilitas, yang dianalisis nilai wajarnya                        the assets and liabilities, analyzed among those
      berdasarkan pada:                                                 whose fair value is based on:

      •    Pengukuran nilai wajar level 1 adalah yang                   •     Level 1 fair value measurements are those
           berasal dari harga kuotasian (tanpa                                derived from quoted prices (unadjusted) in
           penyesuaian) di pasar aktif untuk aset atau                        active markets for identical assets or
           liabilitas yang identik; yang dapat diakses                        liabilities that the entity can access at the
           entitas pada tanggal pengukuran;                                   measurement date;

      •    Pengukuran nilai wajar level 2 adalah yang                   •     Level 2 fair value measurements are those
           berasal dari input selain harga kuotasian yang                     derived from inputs other than quoted prices
           termasuk dalam Level 1 yang dapat                                  included within Level 1 that are observable
           diobservasi untuk aset atau liabilitas, baik                       for the asset or liability, either directly (i.e. as
           secara langsung (misalnya harga) atau secara                       prices) or indirectly (i.e. derived from
           tidak langsung (misalnya deviasi dari harga);                      prices); and
           dan

      •    Pengukuran nilai wajar level 3 adalah yang                   •     Level 3 fair value measurements are those
           berasal dari teknik penilaian yang mencakup                        derived from valuation techniques that
           input untuk aset atau liabilitas yang bukan                        include inputs for the asset or liability that
           berdasarkan data pasar yang dapat                                  are not based on observable market data
           diobservasi (input yang tidak dapat                                (unobservable inputs).
           diobservasi).




                                                            212
Page 217
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                              42.   FINANCIAL INSTRUMENTS (Continued)

      Tidak terdapat transfer pengukuran nilai wajar                   There were no transfers between level 1 and 2 fair
      antara tingkat 1 dan 2 dan tidak terdapat transfer               value measurements and no transfers into and out
      pengukuran nilai wajar ke dalam dan keluar                       of level 3 fair value measurement.
      tingkat 3.

      Tabel berikut menyajikan aset Grup yang diukur                   The following table presents the Group’s financial
      sebesar nilai wajar pada 30 September 2024 dan 31                assets that are measured at fair value as at
      Desember 2023:                                                   September 30, 2024 and December 31, 2023

                                                                  Tingkat 1/                Tingkat 2/                Tingkat 3/
                                      30 September 2024
                                                                   Level 1                   Level 2                   Level 3
Aset keuangan yang diukur pada
 nilai wajar melalui laba rugi/
 Financial assets at fair value
 through profit or loss                 244.465.341.507          244.465.341.507                         -                         -
Aset keuangan diukur pada biaya
 perolehan amortisasi/ Financial
 assets at amortized cost               587.211.789.754          587.211.789.754                         -                         -
Aset keuangan yang diukur pada
 nilai wajar melalui penghasilan
 komprehensif lain/ Financial
 assets at fair value through
 other comprehensive income              66.594.702.080           66.594.702.080                         -                         -
 Penyertaan saham/ Investment
  in shares                               1.538.100.000                      -                           -             1.538.100.000
Total/Total                             899.809.933.341          898.271.833.341                         -             1.538.100.000


                                                                  Tingkat 1/                Tingkat 2/                Tingkat 3/
                                      31 Desember 2023
                                                                   Level 1                   Level 2                   Level 3
Aset keuangan yang diukur pada
 nilai wajar melalui laba rugi/
 Financial assets at fair value
 through profit or loss                 251.612.549.551          251.612.549.551                         -                         -
Aset keuangan diukur pada biaya
 perolehan amortisasi/ Financial
 assets at amortized cost               308.334.140.499          308.334.140.499                         -                         -
Aset keuangan yang diukur pada
 nilai wajar melalui penghasilan
 komprehensif lain/ Financial
 assets at fair value through
 other comprehensive income             360.217.787.168          360.217.787.168                         -                         -
 Penyertaan saham/ Investment
  in shares                               2.163.100.000                      -                           -             2.163.100.000
Total/Total                             922.327.577.218          920.164.477.218                         -             2.163.100.000




                                                           213
Page 218
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                                 42.   FINANCIAL INSTRUMENTS (Continued)

      Nilai     wajar     instrumen      keuangan      yang               The fair value of financial instruments traded in
      diperdagangkan di pasar aktif adalah berdasarkan                    active markets is based on quoted market prices at
      kuotasi harga pasar pada tanggal laporan posisi                     the consolidated statement of financial position
      keuangan konsolidasian. Pasar dianggap aktif                        date. A market is regarded as active if quoted
      apabila kuotasi harga tersedia sewaktuwaktu dan                     prices are readily and regularly available from an
      dapat diperoleh secara rutin dari bursa, pedagang                   exchange, dealer, or broker, pricing service
      efek, perantara efek, kelompok industri atau badan                  industry group or agency, or regulatory agency,
      penyedia jasa penentuan harga, atau badan                           and those prices represent actual and regularly
      pengatur, dan harga tersebut mencerminkan                           occurring market transaction on an arm’s lengths
      transaksi pasar yang aktual dan rutin dalam suatu                   basis. The quoted market price used for financial
      transaksi yang wajar. Kuotasi harga pasar yang                      assets held by the Group is the current bid price.
      digunakan untuk aset keuangan yang dimiliki oleh                    These instruments are included in level 1 consist of
      Grup adalah harga penawaran (bid price) terkini.                    investment in equity securities and mutual fund
      Instrumen keuangan seperti ini termasuk dalam                       which is set to be measured at fair value on the
      hirarki tingkat 1. Instrumen yang termasuk dalam                    profit and loss and debt securities. Instruments
      hirarki tingkat 1 terdiri dari investasi dalam saham                included in level 1 comprise primarily IDX equity
      dan reksa dana yang ditetapkan untuk diukur pada                    investments classified as trading securities or
      nilai wajar pada laba rugi dan efek utang di BEI                    available-for-sale.
      dan diklasifikasikan sebagai surat berharga tersedia
      untuk dijual.

      Teknik penilaian spesifik yang digunakan untuk                      Specific valuation techniques used to value
      melakukan penilaian pada instrumen keuangan,                        financial instruments include:
      antara lain:

      •    Kuotasi harga pasar atau kuotasi harga                         •     Quoted market prices or dealer quotes for
           penjual untuk instrumen sejenis;                                     similar instruments;

      •    Teknik-teknik lainnya, seperti analisa arus                    •     Other techniques, such as discounted cash
           kas diskontoan, yang digunakan untuk                                 flow analysis, are used to determine fair
           menentukan nilai wajar instrumen keuangan                            value for the remaining financial instruments.
           lainnya.

      Metode dan asumsi berikut ini digunakan oleh                        The following methods and assumptions were used
      Grup untuk melakukan estimasi atas nilai wajar                      by the Group to estimate the fair value of each
      setiap kelompok instrumen keuangan:                                 class of financial instrument:

      a.   Aset dan Liabilitas Keuangan dengan Periode                    a.    Financial Assets and Liabilities with Terms of
           12 Bulan atau Kurang                                                 12 Months or Less

           Sehubungan dengan sifat transaksi jangka                             Due to the short-term nature of the
           pendek pada akun-akun di atas, nilai tercatat                        transactions of the accounts above, the
           aset dan liabilitas keuangan mendekati                               carrying amounts of these financial assets
           estimasi nilai wajarnya.                                             and liabilities approximate the estimated fair
                                                                                market values.




                                                              214
Page 219
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                             42.   FINANCIAL INSTRUMENTS (Continued)

      b.   Aset Keuangan yang tidak memiliki Kuotasi                  b.    Financial Asset Not Quoted in Active Market
           Harga di Pasar yang Aktif

           Investasi yang tidak memiliki kuotasi harga                      Unquoted investment in shares of stock
           di pasar yang aktif terdiri dari penyertaan                      consist of investment in PT Bursa Efek
           saham pada PT Bursa Efek Indonesia dan                           Indonesia and Konsorsium Asuransi Risiko
           penyertaan pada Konsorsium Asuransi Risiko                       Khusus, PT Asuransi Maipark Indonesia, and
           Khusus, PT Asuransi Maipark Indonesia, dan                       Sertifikat Dewan Asuransi Indonesia, with
           Sertifikat Dewan Asuransi Indonesia, dengan                      percentage of ownership less than 20% and
           persentase kepemilikan dibawah 20% dan                           the fair value cannot be reliably measured,
           nilai wajarnya tidak dapat ditentukan dengan                     therefore, they are carried at cost.
           andal, maka dicatat pada harga perolehan.

      Mengingat bahwa penerapan praktik manajemen                     Considering that good risk management practices
      risiko yang baik dapat mendukung kinerja dari                   implementation could better support the
      Grup, maka manajemen risiko selalu menjadi                      performance of Group, hence the risk management
      elemen pendukung penting bagi Grup dalam                        would always be an important supporting element
      menjalankan roda bisnisnya. Sasaran dan tujuan                  for the Group in running its business wheel. The
      utama dari diterapkannya praktik manajemen risiko               target and main purpose of the implementation of
      di Grup adalah untuk menjaga dan melindungi                     risk management practices in the Group is to
      Grup melalui pengelolaan risiko kerugian yang                   maintain and protect the Group through managing
      mungkin timbul dari berbagai aktivitasnya serta                 the risk of losses, which might arise from its
      menjaga tingkat risiko agar sesuai dengan arahan                various activities as well as maintaining risk level
      yang sudah ditetapkan oleh Grup.                                in order to match with the direction already
                                                                      established by the Group.

      Strategi untuk mendukung sasaran dan tujuan dari                Strategies to support the goals and objectives of
      manajemen       risiko   diwujudkan      dengan                 risk management is actualized through the
      pembentukan dan pengembangan budaya risiko                      formation and development of a strong risk culture,
      yang kuat, penerapan praktik Tata Kelola                        the implementation of Good Corporate Governance
      Perusahaan yang Baik, pelestarian nilai-nilai                   practices, preserving the values of compliance with
      kepatuhan terhadap regulasi, infrastruktur yang                 regulations, adequate infrastructure, as well as
      memadai, serta proses kerja yang terstruktur dan                structured and healthy working processes. This
      sehat. Budaya risiko yang kuat ini diciptakan                   strong risk culture is created by building a strong
      dengan membangun kesadaran risiko yang kuat                     awareness of risk starting from the Boards of
      dimulai dari Dewan Komisaris, Direksi sampai                    Commissioners and Directors to the entire
      kepada seluruh karyawan Grup.                                   employees of the Group.




                                                          215
Page 220
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


42.   INSTRUMEN KEUANGAN (Lanjutan)                               42.   FINANCIAL INSTRUMENTS (Continued)

      Tata Kelola Perusahaan yang Baik disosialisasikan                 Good Corporate Governance is socialized and
      dan dikembangkan secara menyeluruh pada semua                     developed thoroughly in all components and
      komponen dan aktivitas Grup serta dilaksanakan                    activities within the Group and being implemented
      dengan tanpa kompromi, nilai-nilai kepatuhan                      without compromise, the values of compliance to
      terhadap peraturan yang ada dan berlaku harus                     the existing and prevailing regulations should be
      dibudayakan dan melekat pada semua karyawan                       cultivated and embedded into all employees of the
      Grup yang dipimpin oleh jajaran Manajemen Grup,                   Group led by the management ranks of Group, risk
      infrastruktur risiko dibangun melalui tersedianya                 infrastructure built through the availability of
      kebijakan dan proses yang tepat dan sesuai dengan                 appropriate policies and processes and in line with
      kondisi terkini, pengembangan sistem dan database                 current conditions continuous development of
      risiko yang berkelanjutan, serta teknik dan                       systems and risk database, as well as modern
      metodologi pengelolaan yang modern.                               management techniques and methodologies.

      Membangun proses dan kemampuan risiko yang                        Building strong and healthy processes as well as
      sehat dan kuat adalah sebuah pengkajian yang                      risk capabilities is a continuous assessment on
      berkesinambungan terhadap tujuan penanganan                       objectives of risks handling as well as various
      risiko serta berbagai aktivitas yang menyangkut                   activities involving risks handling such as
      penanganan risiko seperti identifikasi pengukuran                 identification measurement monitor and risk
      pemantauan dan pengendalian risiko.                               control.


43.   MANAJEMEN RISIKO KEUANGAN                                   43.   FINANCIAL RISK MANAGEMENT

      Grup memiliki eksposur terhadap risiko-risiko atas                The Group has exposures to the following risks
      instrumen keuangan seperti: risiko asuransi, risiko               from financial instruments, such as: insurance risk,
      kredit, risiko pasar (seperti risiko harga efek                   credit risk, market risk (i.e equity security price
      ekuitas, risiko suku bunga dan risiko nilai tukar),               risk, interest rate risk and foreign currency risk),
      dan risiko likuiditas.                                            and liquidity risk.

      Fungsi manajemen risiko juga berkewajiban untuk                   Risk management’s function is also to hold the duty
      menjaga arahan risiko yang dapat diterima dan                     of maintaining the direction of risk that is
      disetujui oleh Dewan Komisaris dan Direksi                        acceptable and approved by the Boards of
      dengan    tetap    berpedoman    dan    mampu                     Commissioners and Directors so that it would
      menyesuaikan diri dengan perkembangan usaha.                      remain guided and capable of adapting with
                                                                        business development.

      Sebagai Grup yang bergerak di bidang manajemen                    As the Group that engaged in investment
      investasi, perantara efek, penjamin efek dan                      management, brokerage, underwriting and
      asuransi, Manajemen Grup memiliki komitmen                        insurance, the Group’s Management has full
      penuh untuk menerapkan manajemen risiko secara                    commitment to implement risk management
      komprehensif yang secara esensi mencakup                          comprehensively, which essentially covers the
      kecukupan kebijakan, prosedur dan metodologi                      adequacy of policies, procedures and risk
      pengelolaan risiko sehingga kegiatan usaha Grup                   management methodology, hence the Group's
      tetap dapat terarah dan terkendali pada batasan                   business activities could remain directed and
      risiko yang dapat diterima, serta tetap                           controlled in an acceptable risk limit, at the same
      menguntungkan Grup.                                               time still profitable.




                                                            216
Page 221
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN             RISIKO        KEUANGAN                43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Asuransi                                                   Insurance Risk

      MTWI, Entitas Anak, bergerak dalam bidang                         MTWI, Subsidiary, engages in insurance activities,
      asuransi memiliki risiko asuransi.                                therefore exposed to insurance risk.

      a.   Tujuan dan kebijakan manajemen risiko                        a.    Risk management objectives and policies for
           untuk mengurangi risiko asuransi                                   mitigating insurance risk

           Strategi underwriting                                              Underwriting strategy

           Strategi underwriting MTWI, Entitas Anak,                          The underwriting strategy of MTWI,
           adalah untuk mencari keberagaman untuk                             Subsidiary, is to seek diversity to ensure a
           memastikan portofolio yang seimbang. Setiap                        balanced portfolio. The underwriting
           tahun,       departemen         underwriting                       department prepares business plans every
           mempersiapkan      rencana    bisnis    yang                       year that establishes the classes of business
           menetapkan kelas bisnis dan sektor industri di                     and industry sectors in which MTWI,
           mana MTWI, Entitas Anak, siap untuk                                Subsidiary, is prepared to underwrite.
           menanggung.

           Strategi ini mengalir ke underwriter individu                      The strategy is cascaded to individual
           melalui rincian otoritas underwriting yang                         underwriters through detailed underwriting
           menetapkan batas bahwa setiap underwriter                          authorities that set out the limit that any one
           dapat membuat berdasarkan batas, ukuran,                           underwriter can write by line, size, class of
           kelas bisnis dan industri untuk memastikan                         business and industry in order to ensure
           pemilihan risiko yang tepat dalam portofolio                       appropriate risk selection within the portfolio
           bisnis yang akan ditanggung.                                       of business to be underwritten.

           Untuk kontrak asuransi umum yang                                   For general insurance contracts that are
           umumnya memiliki jangka waktu satu tahun,                          annual in nature, the underwriting
           departemen underwriting memiliki hak untuk                         department has the right to refuse renewal or
           menolak pembaharuan atau perubahan syarat                          change the terms and conditions of the
           dan ketentuan kontrak pada pembaharuan.                            contracts at renewal.

           Strategi reasuransi                                                Reinsurance strategy

           MTWI, Entitas Anak, mereasuransikan                                MTWI, Subsidiary, reinsures a portion of the
           sebagian risiko yang ditanggung untuk                              risks it underwrites in order to control its
           mengendalikan eksposur dari kerugian dan                           exposures to losses and protect its capital
           melindungi sumber daya modal. MTWI,                                resources. MTWI, Subsidiary, purchases a
           Entitas Anak, membeli kombinasi perjanjian                         combination of nonproportionate treaties to
           nonproporsional untuk mengurangi eksposur                          reduce its net exposure for any single event.
           bersih untuk setiap peristiwa tunggal. Selain                      In addition, underwriters are allowed to
           itu, underwriter diperbolehkan untuk membeli                       purchase facultative reinsurance in certain
           reasuransi fakultatif pada kondisi-kondisi                         specific circumstances. All purchases of
           tertentu. Semua pembelian reasuransi                               facultative reinsurance are subject to pre-
           fakultatif tunduk pada pra-persetujuan dan                         approval and the total expenditure of
           total pengeluaran reasuransi fakultatif selalu                     facultative reinsurance is being closely
           dimonitor.                                                         monitored.


                                                            217
Page 222
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                             (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN            RISIKO          KEUANGAN                43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Asuransi (Lanjutan)                                         Insurance Risk (Continued)

      b.   Syarat dan kondisi kontrak reasuransi                         b.    Terms and conditions of insurance contracts

           Fitur produk                                                        Product features

           MTWI, Entitas Anak, memiliki berbagai                               MTWI, Subsidiary, has a range of general
           kebijakan asuransi umum mengasuransikan                             insurance policies insuring a range of risks
           berbagai    risiko     dari   kelas    bisnis                       from the major classes of business cargo,
           pengangkutan, properti, kendaraan, rangka                           properties, motor vehicles, marine hull,
           kapal, kesehatan dan kecelakaan diri dan                            health, personal accident and others. The
           lainlain. Mayoritas klaim diselesaikan paling                       majority of claims are finalized and settled
           lama dalam waktu 3 tahun setelah kejadian.                          within 3 years after occurrence.

           Pengelolaan risiko                                                  Management of risks

           Risiko utama yang terkait dengan asuransi                           The key risks associated with general
           umum adalah risiko underwriting, risiko                             insurance are underwriting risk, competitive
           kompetitif dan risiko pengalaman klaim                              risk and claims experience risk (including the
           (termasuk variabel kejadian bencana alam).                          variable incidence of natural disasters).
           MTWI, Entitas Anak, juga dapat terkena                              MTWI, Subsidiary, may also be exposed to
           risiko tindakan tidak jujur oleh pemegang                           risk of dishonest actions by policyholders.
           polis.

           Risiko underwriting adalah risiko bahwa                             Underwriting risk is the risk that MTWI,
           MTWI, Entitas Anak, tidak membebankan                               Subsidiary, does not charge adequate
           premi yang memadai sesuai dengan risiko                             premiums appropriate for the different risks it
           yang dijamin. Risiko pada kebijakan apapun                          insures. The risk on any policy will vary
           akan bervariasi sesuai dengan faktor-faktor                         according to factors such as location, safety
           seperti lokasi, penilaian keamanan di tempat,                       measures in place, age of property, vehicle,
           usia properti, kendaraan dan lain-lain.                             etc.

           Risiko asuransi dikelola terutama melalui                           Insurance risk is managed primarily through
           harga perkiraan, desain produk, seleksi risiko,                     estimated pricing, product design, risk
           strategi investasi yang tepat, penilaian dan                        selection, appropriate investment strategy,
           reasuransi. Oleh karena itu MTWI, Entitas                           rating and reinsurance. MTWI, Subsidiary,
           Anak, memonitor dan bereaksi terhadap                               therefore monitors and reacts to changes in
           perubahan dalam ekonomi umum dan                                    the general economic and commercial
           lingkungan komersial dimana MTWI, Entitas                           environment in which it operates.
           Anak, beroperasi.




                                                             218
Page 223
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN            RISIKO        KEUANGAN                43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Asuransi (Lanjutan)                                       Insurance Risk (Continued)

      c.   Konsentrasi risiko asuransi                                 c.    Concentrations of insurance risk

           Kunci utama dari risiko asuransi yang                             A key aspect of the insurance risk faced by
           dihadapi oleh MTWI, Entitas Anak, adalah                          MTWI, Subsidiary, is the extent of
           tingkat konsentrasi risiko asuransi yang                          concentration of insurance risk which may
           mungkin terjadi pada suatu kejadian atau                          exist where a particular event or series of
           serangkaian kejadian bias berdampak                               events could impact significantly upon
           signifikan pada liabilitas MTWI, Entitas                          MTWI’s, Subsidiary, liabilities. Such
           Anak. Konsentrasi tersebut dapat timbul dari                      concentrations may arise from a single
           kontrak asuransi tunggal atau melalui                             insurance contract or through a small
           sejumlah kecil kontrak terkait, dan                               number of related contracts, and relate to
           berhubungan dengan situasi di mana liabilitas                     circumstances where significant liabilities
           yang signifikan yang mungkin muncul.                              could arise. An important aspect of the
           Sebuah aspek penting dari konsentrasi risiko                      concentration of insurance risk is that it may
           asuransi adalah bahwa hal itu mungkin timbul                      arise from the accumulation of risks within a
           dari akumulasi risiko dalam sejumlah kelas                        number of individual classes or contracts
           individu atau kontrak tranche.                                    tranche.

           Konsentrasi risiko dapat muncul di peristiwa                      Concentrations of risk can arise in both high
           yang tingkat keparahannya tinggi dan                              severity, low frequency events, such as
           frekuensi rendah, seperti bencana alam dan                        natural disasters and in situations where
           dalam situasi di mana underwriting memihak                        underwriting is biased towards a particular
           terhadap kelompok tertentu, seperti tren                          group, such as a particular geographic or
           geografis atau demografis tertentu atau                           demographic trend or a particular group of
           kelompok dari perusahaan tertentu yang                            companies that belong to the same
           memiliki pemegang saham yang sama.                                shareholder

           Metode utama MTWI, Entitas Anak, dalam                            MTWI’s, Subsidiary, key methods                        in
           mengelola risiko ini adalah sebagai berikut:                      managing these risks are as follows:

           Pertama, risiko dikelola melalui prosedur                         Firstly, the risk is managed through
           underwriting yang tepat. Underwriter tidak                        appropriate     underwriting     procedures.
           diizinkan untuk menanggung risiko kecuali                         Underwriters are not permitted to underwrite
           keuntungan yang diharapkan sepadan dengan                         risks    unless   the    expected     profits
           risiko yang ditanggung.                                           commensurate with the risks assumed.

           Kedua, risiko dikelola melalui penggunaan                         Secondly, the risk is managed through the use
           reasuransi. MTWI, Entitas Anak, membeli                           of reinsurance. MTWI, Subsidiary, purchases
           perlindungan excess of loss dan perjanjian                        both excess of loss covers as well as treaty
           treaty dengan reasuradur terkemuka yang                           arrangements with reputable reinsurers that
           memberikan perlindungan pada bisnis                               provide protection on the insurance business
           asuransi yang diterbitkan oleh MTWI, Entitas                      written by MTWI, Subsidiary, above a certain
           Anak, di atas retensi neto risiko tertentu.                       net retention of risk. The costs and benefits
           Biaya dan manfaat terkait dengan program                          associated with the reinsurance programs are
           reasuransi ditinjau secara berkala.                               being reviewed periodically.



                                                           219
Page 224
                                                                     The original consolidated financial statements included herein are in
                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                             PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN               RISIKO         KEUANGAN               43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Asuransi (Lanjutan)                                          Insurance Risk (Continued)

      c.      Konsentrasi risiko asuransi (Lanjutan)                      c.    Concentrations of insurance risk (Continued)

              Tabel berikut ini menyajikan konsentrasi                          The     following    table   presents       the
              liabilitas kontrak asuransi berdasarkan jenis                     concentration of insurance contract liabilities
              kontrak:                                                          by type of contract:

                                    30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)

                                                         Premi Reasuransi/
                                    Premi Bruto/                                           Premi Neto/
           Jenis Polis                                      Reinsurance                                               Type of Policy
                                   Gross Premium                                           Net Premium
                                                             Premium

  Kendaraan bermotor                112.122.358.156             (2.254.271.116)            109.868.087.040           Motor vehicles
  Kecelakaan                         41.451.711.127            (17.150.241.250)             24.301.469.877           Accident
  Kesehatan                          85.190.211.477            (68.504.742.383)             16.685.469.094           Health
  Kebakaran                         471.231.741.526           (418.057.249.228)             53.174.492.298           Fire
  Rangka kapal                      141.205.179.806           (123.194.655.951)             18.010.523.855           Marine hull
  Pengangkutan                       66.971.467.335            (47.888.317.973)             19.083.149.362           Cargo
  Lain-lain                         205.605.051.564           (179.318.010.952)             26.287.040.612           Other
  Total                            1.123.777.720.991          (856.367.488.853)            267.410.232.138           Total



                                        31 Desember/ December 31,    2023 (Diaudit/ Audited)
                                                        Premi Reasuransi/
                                    Premi Bruto/                                   Premi Neto/
           Jenis Polis                                     Reinsurance                                                Type of Policy
                                   Gross Premium                                  Net Premium
                                                             Premium
  Kendaraan bermotor                  76.731.820.049          (524.234.725)         76.207.585.324                   Motor vehicles
  Kecelakaan                          44.159.679.352       (16.617.056.280)         27.542.623.072                   Accident
  Kesehatan                           99.383.973.231       (84.503.206.800)         14.880.766.431                   Health
  Kebakaran                          467.294.145.038      (417.645.219.763)         49.648.925.275                   Fire
  Rangka kapal                        87.748.656.143       (78.519.831.182)          9.228.824.961                   Marine hull
  Pengangkutan                        52.831.153.626       (40.120.778.474)         12.710.375.152                   Cargo
  Lain-lain                          183.817.882.639      (175.670.436.647)          8.147.445.992                   Other
  Total                            1.011.967.310.078      (813.600.763.871)       198.366.546.207                    Total




                                                              220
Page 225
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN            RISIKO         KEUANGAN              43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Asuransi (Lanjutan)                                      Insurance Risk (Continued)

      c.   Konsentrasi risiko asuransi (Lanjutan)                     c.    Concentrations of insurance risk (Continued)

           Asumsi-asumsi utama                                              Key assumptions

           Liabilitas asuransi tersebut terdiri dari                        The insurance liabilities consist of estimated
           estimasi klaim dan premi yang belum                              claims and unearned premium reserve.
           merupakan pendapatan.

           Asumsi utama yang mendasari estimasi klaim                       The principal assumption underlying the
           adalah klaim pengembangan masa depan                             estimated claims is that MTWI’s, Subsidiary,
           MTWI, Entitas Anak, akan mengikuti pola                          future claim development will follow a
           yang sama dengan pengalaman klaim                                similar pattern to past claims development
           pengembangan masa lalu. Ini termasuk                             experience. This includes assumptions in
           asumsi-asumsi dalam hal rata-rata biaya                          respect of average claim costs, claim
           klaim, biaya-biaya penanganan klaim dan                          handling costs and claim number of accidents
           jumlah klaim kejadian untuk satu tahun.                          reached in a year.

           Penilaian kualitatif tambahan yang digunakan                     Additional qualitative judgments are used to
           untuk menilai sejauh mana tren masa lalu                         assess the extent to which past trends may not
           mungkin tidak berlaku di masa depan,                             apply in the future, for example: one-off
           misalnya: kejadian tertentu yang tidak akan                      occurrence; changes in market factors such
           berulang, perubahan faktor pasar seperti                         as public attitude to claiming; economic
           tingkah laku masyarakat dalam klaim, kondisi                     condition; as well internal factor such as
           ekonomi dan juga faktor internal seperti                         portfolio mix, policy condition and claim
           bauran investasi dan prosedur penanganan                         handling procedures. Judgments is further
           klaim. Penilaian juga digunakan untuk                            used to assess the extent to which external
           menilai sejauh mana faktorfaktor eksternal                       factors such as judicial decisions and
           seperti keputusan pengadilan dan peraturan                       government legislation affect the estimates.
           pemerintah mempengaruhi estimasi.




                                                          221
Page 226
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN             RISIKO         KEUANGAN                43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Kredit                                                      Credit Risk

      Risiko kredit adalah risiko kerugian keuangan yang                 Credit risk is the risk of suffering financial loss,
      timbul jika counterparty Grup gagal memenuhi                       should any of the Group’s counterparty fail to fulfil
      kewajiban kontraktualnya kepada Grup. Risiko                       their contractual obligations to the Group. Credit
      kredit Grup terutama melekat kepada bank dan                       risk is primarily attributable to its bank and cash
      setara kas, deposito berjangka, portofolio efek,                   equivalents, time deposits, marketable securities,
      piutang sewa operasi, piutang sewa pembiayaan,                     operating lease receivables, consumer financing
      piutang pembiayaan konsumen, tagihan anjak                         receivables, factoring receivables, receivables from
      piutang, piutang dari lembaga kliring dan                          clearing and guarantee institution, receivables
      penjaminan, piutang nasabah, piutang premi, piutang                from customers, premiums receivables, due from
      reasuransi, piutang lain-lain, pendapatan yang belum               reinsurance, other receivables, unbilled revenues,
      ditagih, penyertaan saham dan aset lain-lain.                      investment in shares and other assets.

      Risiko kredit merupakan risiko yang tidak bisa                     Credit risk is an unavoidable risk, however, could
      dihindari, namun dapat dikelola hingga pada                        be managed to an acceptable limit. The Group
      batasan yang bisa diterima. Grup telah memiliki                    already has a policy in order to deal with this risk,
      kebijakan dalam menghadapi risiko ini. Dimulai                     Starting from the beginning of the process in
      dari proses awal penerimaan aplikasi kredit yang                   receiving credit applications selectively and
      selektif dan ditangani dengan prinsip kehatihatian,                handling them with prudence principle, whereby
      yang mana aplikasi kredit akan melalui proses                      the credit application would go through survey and
      survey dan analisa kredit untuk kemudian disetujui                 credit analysis process in order to be approved
      oleh Komite Kredit.                                                subsequently by the Credit Committee.

      Grup juga menerapkan Pedoman Penerapan Prinsip                     The Group also implemented the Manual for
      Mengenal Nasabah yang diatur oleh Peraturan                        Implementation of Know Your Customer Principles
      Menteri Keuangan No. 45/KMK.06/2003 tanggal                        as regulated in the Ministry of Finance Regulation
      30 Januari 2003 tentang Penerapan Prinsip                          No. 45/KMK.06/2003 dated January 30, 2003
      Mengenal Nasabah bagi Lembaga Keuangan                             regarding the Implementation of Know Your
      NonBank, telah diubah dengan Peraturan Menteri                     Customer Principles for NonBanking Financial
      Keuangan     No.    74/PMK.012/2006      tanggal                   Institutions, which was amended with the Ministry
      31 Agustus 2006 dan Keputusan Direktur Jenderal                    of Finance Regulation No. 74/PMK.012/2006 dated
      Lembaga Keuangan No. Kep-2833/LK/2003                              August 31, 2006 and the Decision of the Director
      tanggal 12 Mei 2003 tentang Pedoman Pelaksanaan                    General of Financial Institutions No. Kep-
      Penerapan Prinsip Mengenal Nasabah pada                            2833/LK/2003 dated May 12, 2003 regarding the
      Lembaga Keuangan NonBank.                                          Manual for Implementation of Know Your
                                                                         Customer Principles for NonBanking Financial
                                                                         Institutions.

      Untuk aset keuangan lainnya seperti kas dan setara                 For other financial assets, such as cash and cash
      kas dan deposito berjangka, Grup meminimalkan                      equivalents and time deposits, the Group minimizes
      risiko kredit dengan melakukan penempatan pada                     the credit risk by placement of funds with reputable
      lembaga keuangan yang bereputasi.                                  financial institutions.

      Tabel berikut ini memberikan informasi mengenai                    The following tables provide information regarding
      paparan risiko kredit maksimum Grup dan kualitas                   the maximum credit risk exposure of the Group and
      kredit aset keuangan berdasarkan kelas berdasarkan                 the credit quality of its financial assets by class
      proses evaluasi kreditnya:                                         based on its credit evaluation process:


                                                             222
Page 227
                                                                                       The original consolidated financial statements included herein are in
                                                                                                                                        Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                               PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                                 AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                            INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                                 FINANCIAL POSITION
Tanggal 30 September 2024                                                                                             As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                 (Expressed in Rupiah, unless otherwise stated)


43.    MANAJEMEN                       RISIKO               KEUANGAN                 43.    FINANCIAL RISK MANAGEMENT (Continued)
       (Lanjutan)

       Risiko Kredit (Lanjutan)                                                             Credit Risk (Continued)

                                                                    30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                                                      Telah Jatuh Tempo/Past Due
                                   Belum Jatuh Tempo/        1 - 30 Hari/         31 - 60 Hari/        61 - 90 Hari/            >90 hari/
                                                                                                                                                  Total/Total
                                       Not Past Due          1 - 30 Days          31 - 60 Days          61 - 90 Days            >90 days
 Bank dan setara
  kas/Cash in banks and cash
  equivalents                             241.431.832.989               -                   -                      -                        -    241.431.832.989
 Portofolio efek/
  Marketable securities
  Pihak ketiga/ Third parties             653.806.491.834               -                   -                      -                        -    653.806.491.834
  Pihak berelasi/
   Related parties                        244.465.341.507               -                   -                      -                        -    244.465.341.507
 Piutang sewa operasi/ Operating
  lease receivables
  Pihak ketiga - neto/
   Third parties - net                     49.040.811.777      (814.819.912)      4.375.820.366          2.077.241.690          9.741.428.500     64.420.482.421
 Piutang nasabah/
 Receivables from customers
  Pihak ketiga/ Third parties               8.438.670.116               -                   -                      -                        -      8.438.670.116
  Pihak berelasi/
   Related parties                         30.052.411.561               -                   -                      -                        -     30.052.411.561
 Piutang premi - neto/ Premiums
  receivables - net                       241.185.921.414    39.982.936.035      16.430.420.716         14.590.362.143          4.817.172.366    317.006.812.674
 Piutang reasuransi/ Due from
  reinsurance                               2.452.593.573    41.669.379.990      47.054.284.048         93.045.244.521            877.747.072    185.099.249.204
 Piutang lain-lain/
  Other receivables                        77.247.836.205               -                   -                      -                        -     77.247.836.205
 Pendapatan yang belum ditagih/
  Unbilled revenues                         1.889.715.296               -                   -                      -                      -         1.889.715.296
 Total                                  1.550.011.626.272    80.837.496.113      67.860.525.130        109.712.848.354         15.436.347.938   1.823.858.843.807




                                                                               223
Page 228
                                                                                             The original consolidated financial statements included herein are in
                                                                                                                                              Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                     PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                                       AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                                  INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                                       FINANCIAL POSITION
Tanggal 30 September 2024                                                                                                   As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                       (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN                          RISIKO                  KEUANGAN                 43.       FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Kredit (Lanjutan)                                                                      Credit Risk (Continued)

                                                                                   31 Desember 2023/ December 31, 2023
                                                                                          Telah Jatuh Tempo/Past Due
                                        Belum Jatuh Tempo/        1 - 30 Hari/        31 - 60 Hari/        61 - 90 Hari/       >90 hari/
                                                                                                                                                  Total/Total
                                            Not Past Due          1 - 30 Days         31 - 60 Days         61 - 90 Days        >90 days
      Bank dan setara
       kas/Cash in banks and cash
       equivalents                             361.428.478.152               -                  -                          -               -     361.428.478.152
      Portofolio efek/
       Marketable securities
       Pihak ketiga/ Third parties                           -               -                  -                          -               -                    -
       Pihak berelasi/
        Related parties                        160.854.429.010               -                  -                          -               -     160.854.429.010
      Piutang sewa operasi/ Operating
       lease receivables
       Pihak ketiga - neto/
        Third parties - net                     19.038.927.804     5.884.918.829      2.370.715.486            322.270.385      3.781.399.258     31.398.231.762
      Piutang nasabah/
      Receivables from customers
       Pihak ketiga/ Third parties               8.709.939.343               -                  -                          -               -       8.709.939.343
       Pihak berelasi/
        Related parties                         27.831.686.930               -                  -                          -               -      27.831.686.930
      Piutang premi - neto/ Premiums
       receivables - net                       244.397.620.068    50.186.125.577     35.346.299.752          3.290.130.385      4.817.172.366    338.037.348.148
      Piutang reasuransi/ Due from
       reinsurance                              17.596.974.036     2.298.048.268      2.355.557.302                        -   77.841.241.070    100.091.820.676
      Piutang lain-lain/
       Other receivables                        15.304.817.853               -                  -                          -               -      15.304.817.853
      Pendapatan yang belum ditagih/
       Unbilled revenues                                   -                 -                  -                      -                  -                   -
      Total                                    855.162.873.196    58.369.092.674     40.072.572.540          3.612.400.770     86.439.812.694   1.043.656.751.874


      Untuk piutang sewa operasi, piutang sewa                                                      For operating lease receivables, finance lease
      pembiayaan - pihak ketiga, piutang nasabah,                                                   receivables - third parties, receivables from
      piutang premi - neto, dan piutang lain-lain, Grup                                             customers, premiums receivables - net, and other
      telah menerapkan pendekatan yang disederhanakan                                               receivables, the Group has applied the simplified
      dalam PSAK 71 untuk mengukur penyisihan                                                       approach in PSAK 71 to measure the loss
      kerugian pada ECL seumur hidup. Grup                                                          allowance at lifetime ECL. The Group determines
      menentukan kerugian kredit ekspektasian atas pos-                                             the expected credit losses on these items by using a
      pos tersebut dengan menggunakan matriks provisi,                                              provision matrix, estimated based on historical
      yang diestimasi berdasarkan pengalaman kerugian                                               credit loss experience based on the past due status
      kredit historis berdasarkan status jatuh tempo                                                of the debtors, adjusted as appropriate to reflect
      debitur, yang disesuaikan untuk mencerminkan                                                  current conditions and estimates of future
      kondisi saat ini dan estimasi kondisi ekonomi masa                                            economic conditions. Accordingly, the credit risk
      depan. Karenanya, profil risiko kredit dari aset                                              profile of these assets is presented based on their
      tersebut disajikan berdasarkan status tunggakannya                                            past due status in terms of the provision matrix.
      dalam matriks provisi.




                                                                                   224
Page 229
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN            RISIKO        KEUANGAN                43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Pasar                                                     Market Risk

      Risiko pasar merupakan risiko yang terutama                      Market risk is the risk primarily due to changes in
      disebabkan karena perubahan tingkat bunga, nilai                 interest rates, exchange rate, commodity prices and
      tukar, harga komoditas dan harga modal atau                      the price of capital or loans, which could incur
      pinjaman, yang dapat membawa risiko bagi Grup.                   risks to the Group. In the Group's business
      Dalam perencanaan usaha Grup, risiko pasar yang                  planning, market risk with direct impact to the
      memiliki dampak langsung kepada Grup adalah                      Group is in respect of its financial assets at fair
      dalam hal pengelolaan investasi atas aset keuangan               value through profit or loss.
      yang diukur pada nilai wajar melalui laba rugi.

      Risiko Harga Efek Ekuitas                                        Equity Security Price Risk

      Investasi ekuitas yang terdaftar di Grup rentan                  The Group’s listed equity investments are
      terhadap risiko harga pasar yang timbul dari                     susceptible to market price risk arising from
      ketidakpastian tentang nilai masa depan dari                     uncertainties about future values of the marketable
      sekuritas yang dapat dipasarkan.                                 securities.

      Analisa sensitivitas berikut ini ditentukan                      The sensitivity analysis below has been determined
      berdasarkan eksposur risiko harga saham pada                     based on the exposure to equity price risks at the
      akhir periode pelaporan. Analisa sensitivitas                    end of the reporting period. The sensitivity analysis
      menunjukkan sensitivitas atas kemungkinan                        demonstrates the sensivity to a reasonably possible
      kenaikan atau penurunan harga efek sebagai akibat                increase or decrease of security prices as the
      perubahan nilai wajar melalui laba rugi, dengan                  results of the changes in fair value of through profit
      asumsi variabel lain dianggap tetap (ceteris                     or loss, with all other variables held constant
      paribus) terhadap laba sebelum pajak:                            (ceteris paribus) of the profit before tax:


      Risiko Suku Bunga                                                Interest Rate Risk

      Risiko tingkat suku bunga adalah risiko dalam hal                Interest rate risk is the risk that the fair value or
      nilai wajar atau arus kas masa depan dari suatu                  future cash flows of a financial instrument will
      instrumen keuangan berfluktuasi karena perubahan                 fluctuate because of changes in market interest
      suku bunga pasar. Eksposur Grup yang terpengaruh                 rates. The Group’s exposure to the risk of changes
      risiko suku bunga terutama terkait dengan utang                  in market interest rates relates primarily to the
      bank, pinjaman pihak ketiga, dan liabilitas sewa.                Group’s bank loans, third party loans , and lease
                                                                       liabilities.




                                                           225
Page 230
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN             RISIKO         KEUANGAN                   43.       FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Pasar (Lanjutan)                                                   Market Risk (Continued)

      Risiko Suku Bunga (Lanjutan)                                              Interest Rate Risk (Continued)

      Untuk meminimalkan risiko suku bunga, Grup                                To minimize interest rate risk, the Group manages
      mengelola beban bunga dengan suku bunga tetap,                            interest cost through a fixed-rate debts, by
      dengan mengevaluasi kecenderungan suku bunga                              evaluating market rate trends. Management also
      pasar. Manajemen juga melakukan penelaahan                                conducts assessments among interest rates offered
      berbagai suku bunga yang ditawarkan oleh kreditur                         by creditors to obtain the most favorable interest
      untuk     mendapatkan     suku    bunga     yang                          rate before taking any decision to enter a new loan
      menguntungkan sebelum mengambil keputusan                                 agreement.
      untuk melakukan perikatan utang.

      Perubahan tingkat bunga acuan akan menjadi risiko                         Changes in interest rates would become a risk at
      pada saat perubahannya, terutama ketika tingkat                           the point of change, especially when the interest
      bunga dinaikkan, yang menyebabkan kerugian bagi                           rate is raised, which would cause losses to the
      Grup sehingga dapat menyebabkan risiko kredit                             Group, hence resulting in increased the Group’s
      Grup meningkat. Untuk itu, Grup menerapkan                                credit risk. Therefore, the Group implements fixed
      pengelolaan tingkat bunga tetap secara konsisten                          interest rate management consistently by doing
      dengan menyesuaikan tingkat bunga kredit                                  adjustment on lending interest rate and cost of
      terhadap tingkat bunga pinjaman dan beban dana.                           funds.

      Tabel berikut adalah nilai tercatat berdasarkan                           The following table sets out the carrying amount,
      jatuh temponya atas aset dan liabilitas keuangan                          by maturity, of the Group’s financial asset and
      Grup yang terkait risiko suku bunga:                                      liability that are exposed to interest rate risk:

                                                     30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                         Rata-rata Suku
                                          Jatuh Tempo          Jatuh Tempo           Jatuh Tempo           Jatuh Tempo
                         Bunga Efektif/
                                             dalam             Pada Tahun            Pada Tahun            Pada Tahun
                            Average                                                                                           Total/Total
                                            1 Tahun/           ke - 2/In the          ke -3/In the          ke -4/In the
                            Effective
                                          Within 1 Year          2nd Year              3rd Year              4th Year
                          Interest Rate
  Liabilitas/
   Liabilities
  Utang bank/ Bank        6,60% - 8,25%   156.783.207.697     177.017.114.283        154.777.553.807        442.614.114.799   931.191.990.586
   loans
  Liabilitas sewa/
   Lease
   Liabilities           6,60% - 11,75%   180.088.388.840     183.198.789.831         46.741.738.129         30.732.278.819   440.761.195.619

                                                                  31 Desember/ December 31, 2023
                         Rata-rata Suku
                                          Jatuh Tempo          Jatuh Tempo           Jatuh Tempo           Jatuh Tempo
                         Bunga Efektif/
                                             dalam             Pada Tahun            Pada Tahun            Pada Tahun
                            Average                                                                                           Total/Total
                                            1 Tahun/           ke - 2/In the          ke -3/In the          ke -4/In the
                            Effective
                                          Within 1 Year          2nd Year              3rd Year              4th Year
                          Interest Rate
  Liabilitas/
   Liabilities
  Utang bank/ Bank      6,6% - 11,00%     117.484.815.163      85.303.232.955        104.478.878.021        196.561.697.031   503.828.623.170
   loans
  Liabilitas sewa/
   Lease
   Liabilities          6,00% - 11,00%    124.593.982.552     165.826.569.685        184.715.748.362         18.103.060.987   493.239.361.586



                                                                226
Page 231
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN               RISIKO       KEUANGAN                43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Pasar (Lanjutan)                                            Market Risk (Continued)

      Analisis Sensitivitas                                              Sensitivity analysis

      Perubahan dari 100 basis poin suku bunga pada                      A change of 100 basis points in interest rates on
      tanggal laporan keuangan akan meningkatkan atau                    the date of the financial statements will increase or
      menurunkan laba sebelum pajak. Analisis ini                        decrease in income before tax. This analysis
      mengasumsikan bahwa semua variabel lainnya                         assumes that all other variables remain constant.
      tetap konstan. Perubahan terutama disebabkan oleh                  The change is mainly due to the variable
      tingkat suku bunga pinjaman variabel.                              borrowing rate.

      Risiko Nilai Tukar                                                 Foreign Currency Risk

      Risiko mata uang asing adalah risiko dimana nilai                  Foreign currency risk is the risk that the fair value
      wajar atau arus kas masa mendatang dari suatu                      or future cash flows of a financial instrument will
      instrumen keuangan karena perubahan dari nilai                     fluctuate because of changes in foreign exchange
      tukar mata uang asing. Pengaruh dari risiko                        rates. The Group’s exposure to the risk of changes
      perubahan nilai tukar mata uang asing terutama                     in foreign exchange rates relates primarily to the
      berasal dari aktivitas usaha Grup yang terjadi                     Group’s operating activities in a different currency
      dalam mata uang yang berbeda dari mata uang                        from the Group’s functional currency.
      fungsional Grup.

      Eksposur fluktuasi nilai tukar atas Grup berasal                   The Group’s exposure to exchange rate
      dari nilai tukar antara Dolar Amerika Serikat, Euro,               fluctuations comes from the exchange rate between
      Dolar Singapura, Yen Jepang, Yuan China, Swiss                     United States Dollar, Euro, Singapore Dollar,
      Franc, Dolar Australia dengan Rupiah.                              Japanese Yen, Chinese Yuan, Swiss Franc,
                                                                         Australian Dollar against Rupiah.

      Grup memonitor secara ketat fluktuasi dari nilai                   The Group closely monitors the foreign exchange
      tukar mata uang asing sehingga dapat mengambil                     rate fluctuation and market expectation so it can
      langkah-langkah yang paling menguntungkan Grup                     take necessary actions benefited most to the Group
      pada waktu yang tepat. Manajemen tidak                             in due time. The management currently does not
      menganggap perlu untuk melakukan transaksi                         consider the necessity to enter into any currency
      forward/swap mata uang asing saat ini.                             forward/swaps.

      Berikut adalah posisi aset dan liabilitas moneter                  The following table shows net monetary assets and
      neto dalam mata uang asing pada tanggal                            liabilities as at September 30, 2024 and December
      30 September 2024 dan 31 Desember 2023:                            2023:




                                                             227
Page 232
                                                                        The original consolidated financial statements included herein are in
                                                                                                                         Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                           INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                FINANCIAL POSITION
Tanggal 30 September 2024                                                                            As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)


43.    MANAJEMEN                  RISIKO         KEUANGAN              43.   FINANCIAL RISK MANAGEMENT (Continued)
       (Lanjutan)

       Risiko Pasar (Lanjutan)                                               Market Risk (Continued)
       Risiko Nilai Tukar (Lanjutan)                                         Foreign Currency Risk (Continued)

                                 30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                 Mata Uang Asing/                   Ekuivalen/
                                 Foreign Currency                   Equivalent
                                                                      Rupiah
      Aset                                                                                                                     Assets
       Kas dan setara kas        USD 2.337.564                                  35.386.045.443         Cash and cash equivalents
       Portofolio efek           USD 406.735                                     6.157.151.825              Marketable securities
       Piutang nasabah           USD 274.755                                     4.159.240.824        Receivables from customers
       Piutang premi             USD 6.418.554                                  97.164.063.277              Premium receivables
                                 SGD 167.079                                     1.969.521.712
                                 EUR 29.287                                        493.549.163
                                 JPY 1.211.056                                     128.371.931
                                 CHF 1.512                                          27.056.136
                                 CNY 203.108                                       438.510.634
                                 AUD 257                                             2.677.065
                                 GBP 65                                              1.323.500
                                 MYR 2.911                                          10.698.256
                                 THB 2.782                                           1.299.222
       Piutang reasuransi        USD 3.867.517                                  51.511.979.810              Due from reinsurance
                                 SGD 11.228                                         73.110.885
                                 EUR 5.978                                          41.475.011
                                 JPY 5.142                                             524.484
                                 CNY 19                                                 42.831
                                 GBP 1.113                                          23.097.974
                                 AUD 10.876                                         58.227.603
      Total Aset Moneter                                                       197.647.967.587                 Total Monetary Assets

      Liabilitas                                                                                                            Liability
       Utang nasabah             USD 357.303                                     5.408.851.804             Payables to customers
       Utang klaim               USD 95.242                                      1.441.775.709                   Claim payables
                                 SGD 2.543                                          29.972.522
       Utang reasuransi          USD 8.723.357                                132.054.178.038                 Due to reinsurances
                                 SGD 206.416                                    2.433.237.384
                                 JPY 1.031.921                                    109.383.657
                                 EUR 55.169                                       929.710.250
                                 CNY 123.883                                      267.462.641
                                 CHF 764                                           13.672.647
                                 AUD 103                                            1.070.243
                                 THB 14                                                 6.702
                                 GBP 1.353                                         27.387.183
                                 MYR 2.239                                          8.228.803
                                 SEK 13                                                18.995
                                 NZD 29                                               274.037
       Utang Koasuransi          USD 5.276                                          79.874.446                 Due to coinsurance
                                 EUR 4295                                           72.380.520
       Utang komisi              USD 930.510                                    14.086.059.831             Commissions payables
                                 SGD 5.907                                          69.635.633
                                 EUR 22.785                                        383.976.115
                                 JPY 239.598                                        25.397.433
                                 AUD 46                                                482.559
                                 CNY 43.244                                         93.362.882
                                 CHF 9                                                 156.697
                                 GBP 19                                                387.741
                                 MYR 679                                             2.494.223
                                 THB 588                                               274.563
      Total Liabilitas Moneter                                                 157.539.713.258               Total Monetary Liability
      Aset Moneter Neto                                                         40.108.254.329                   Net Monetary Assets


                                                                 228
Page 233
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


43.     MANAJEMEN                RISIKO       KEUANGAN            43.     FINANCIAL RISK MANAGEMENT (Continued)
        (Lanjutan)

        Risiko Pasar (Lanjutan)                                           Market Risk (Continued)

        Risiko Nilai Tukar (Lanjutan)                                     Foreign Currency Risk (Continued)

                                 31 Desember/ December 31, 2023 (Diaudit/ Audited)
                                 Mata Uang Asing/             Ekuivalen/
                                 Foreign Currency             Equivalent
                                                                Rupiah
      Aset                                                                                                            Assets
       Kas dan setara kas        USD 4.600.017                           27.573.437.813         Cash and cash equivalents
                                 SGD 1.163.052                           12.272.217.302
       Portofolio efek           USD 16.788.535                         258.795.274.162             Marketable securities
       Piutang nasabah           USD 161.580                              2.490.757.365       Receivables from customers
       Piutang premi             USD 9.732.652                          150.028.838.801             Premium receivables
                                 CNY 33.112                                 107.935.830
                                 SGD 74.069                                 867.467.539
                                 EUR 85.743                               1.469.596.515
                                 CHF 225,27                                   4.139.221
                                 JPY 4712                                    51.619.198
                                 AUD 55,02                                      581.284
       Piutang reasuransi        USD 179.885                              2.772.929.415              Due from reinsurance
                                 EUR 1.996,71                                34.222.581
                                 SGD 3.940,92                                46.154.650
      Total Aset Moneter                                                456.515.171.676                  Total Monetary Assets

      Liabilitas                                                                                                      Liability
       Utang nasabah             USD 255.640,29                            3.940.695.059             Payables to customers
       Utang klaim               USD 49.623,72                               764.949.719                   Claim payables
                                 SGD 3.046,11                                 35.674.869
       Utang reasuransi          USD 7.911.759                          121.959.762.343                Due to reinsurances
                                 CNY -18.378                                (59.906.317)
                                 SGD 46.818                                 548.315.562
                                 EUR 44.340                                 759.969.573
                                 JPY 3.846                                   42.135.630
       Utang komisi              USD 1.308.021                            20.163.151.256              Due to coinsurance
                                 CNY 5.613                                    18.298.182            Commissions payables
                                 SGD 7.250                                    84.912.139
                                 EUR 14.184                                  243.118.164
                                 JPY 947                                      10.384.596
                                 AUD 12,46                                       131.684
      Total Liabilitas Moneter                                           148.511.592.459              Total Monetary Liability
      Aset Moneter Neto                                                  308.003.579.217                  Net Monetary Assets




                                                            229
Page 234
                                                               The original consolidated financial statements included herein are in
                                                                                                                Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                       PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                       AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                  INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                       FINANCIAL POSITION
Tanggal 30 September 2024                                                                   As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)


43. MANAJEMEN             RISIKO    KEUANGAN           43.    FINANCIAL RISK MANAGEMENT (Continued)
(Lanjutan)

Risiko Pasar (Lanjutan)                                       Market Risk (Continued)

Risiko Nilai Tukar (Lanjutan)                                 Foreign Currency Risk (Continued)


Berikut adalah sensitivitas Grup terhadap kenaikan            The following describes the Group’s sensitivity to
atau penurunan kurs Rupiah terhadap Dolar                     increase and decrease in Rupiah against United
Amerika Serikat, Euro, Ringgit Malaysia, Dolar                States Dollar, Euro, Malaysian Ringgit, Singapore
Singapura, Dolar Australia, Poundsterling Inggris,            Dollar, Australlian Dollar, Great Britain
Yuan China dan Yen Jepang pada tanggal laporan                Poundsterling, Chinese Yuan and Japanese Yen
posisi keuangan konsolidasian yang menggunakan                translated at the consolidated statement of
10% tingkat sensitivitas untuk tujuan pelaporan               financial position date 10% is the sensitivity rate
risiko kurs mata uang asing secara internal kepada            used when reporting internally the foreign
personel manajemen kunci dan pengungkapan                     currency risk to key management personnel and
berikut merupakan hasil penelaahan manajemen                  this represents management’s assessment of a
atas kemungkinan perubahan kurs mata uang asing               reasonable possible change in foreign exchange
yang wajar.                                                   rates.
                                                                                                Pengaruh Pada
                                                  Kenaikan (Penurunan)
                                                                                                     Laba
                                                 Mata Uang Asing/Increase
                                                                                                   Sebelum
                                                  (Decrease) in Foreign
                                                                                                Pajak/Effect on
                                                        Currency
                                                                                              Income Before Tax
          30 September/ September 30, 2024       USD                              10%                4.130.774.135
                                                                                  -10%              (4.130.774.135)
                                                 SGD                              10%                  (49.021.294)
                                                                                  -10%                  49.021.294
                                                 EUR                              10%                  (85.104.271)
                                                                                  -10%                  85.104.271
                                                 CHF                              10%                    1.322.679
                                                                                  -10%                  (1.322.679)
                                                 CNY                              10%                    7.772.794
                                                                                  -10%                  (7.772.794)
                                                 AUD                              10%                    5.935.187
                                                                                  -10%                  (5.935.187)
                                                 THB                              10%                      101.796
                                                                                  -10%                    (101.796)
                                                 MYR                              10%                       (2.477)
                                                                                  -10%                       2.477
                                                 SEK                              10%                       (1.900)
                                                                                  -10%                       1.900
                                                 GBP                              10%                     (335.345)
                                                                                  -10%                     335.345
                                                 JPY                              10%                     (588.468)
                                                                                  -10%                     588.468
                                                 NZD                              10%                      (27.404)
                                                                                  -10%                      27.404


                                                        230
Page 235
                                                              The original consolidated financial statements included herein are in
                                                                                                               Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                      PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                      AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                 INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                      FINANCIAL POSITION
Tanggal 30 September 2024                                                                  As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)


43.   MANAJEMEN            RISIKO      KEUANGAN              43.   FINANCIAL RISK MANAGEMENT (Continued)
      (Lanjutan)

      Risiko Pasar (Lanjutan)                                      Market Risk (Continued)

      Risiko Nilai Tukar (Lanjutan)                                Foreign Currency Risk (Continued)

                                                                                                     Pengaruh Pada
                                               Kenaikan (Penurunan)
                                                                                                               Laba
                                              Mata Uang Asing/Increase
                                                                                                           Sebelum
                                               (Decrease) in Foreign
                                                                                                     Pajak/Effect on
                                                     Currency
                                                                                                  Income Before Tax
      31 Desember/ December 31, 2023          USD                                  10%                 33.816.850.658
                                                                                   -10%               (33.816.850.658)
                                              SGD                                  10%                  1.386.596.215
                                                                                   -10%                (1.386.596.215)
                                              EUR                                  10%                     50.073.136
                                                                                   -10%                   (50.073.136)
                                              CHF                                  10%                        413.922
                                                                                   -10%                      (413.922)
                                              CNY                                  10%                     14.954.397
                                                                                   -10%                   (14.954.397)
                                              AUD                                  10%                         44.960
                                                                                   -10%                       (44.960)
                                              JPY                                  10%                        (90.103)
                                                                                   -10%                        90.103

      Risiko Likuiditas                                            Liquidity Risk

      Risiko likuiditas muncul dari manajemen modal                Liquidity risk arises from the Group’s management
      kerja dan beban keuangan Grup dan pembayaran                 of working capital and the finance charges and
      kembali pokok pada instrumen utang. Ini adalah               principal repayments on its debt instruments. It is
      risiko bahwa Grup akan mengalami kesulitan                   the risk that the Group will encounter difficulty in
      dalam memenuhi kewajiban keuangan saat jatuh                 meeting their financial obligations as they fall due.
      tempo.




                                                       231
Page 236
                                                                                          The original consolidated financial statements included herein are in
                                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                                     AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                                INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                                     FINANCIAL POSITION
Tanggal 30 September 2024                                                                                                 As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                     (Expressed in Rupiah, unless otherwise stated)


43.    MANAJEMEN                      RISIKO                KEUANGAN                   43.      FINANCIAL RISK MANAGEMENT (Continued)
       (Lanjutan)

       Risiko Likuiditas (Lanjutan)                                                             Liquidity Risk (Continued)

       Kebijakan Grup adalah untuk memastikan bahwa                                             The Group's policy is to ensure that they will
       mereka selalu memiliki uang yang cukup dalam                                             always have sufficient cash to allow them to meet
       bentuk kas untuk membayar kewajiban mereka                                               their liabilities when they become due. To achieve
       ketika kewajiban tersebut jatuh tempo. Untuk                                             this aim,they seek to maintain cash balances and
       memenuhi tujuan tersebut, mereka mencari cara                                            agree facilities to meet expected requirements for a
       untuk menjaga saldo kas dan fasilitas yang                                               period of at least 180 days. The Group also seeks
       disetujui untuk memenuhi kebutuhan uang kas                                              to reduce liquidity risk by fixing interest rates on a
       untuk suatu periode setidaknya 180 hari. Grup juga                                       portion of their bank borrowings.
       mencari cara untuk mengurangi risiko likuiditas
       dengan menetapkan suku bunga dalam bagian
       pinjaman bank yang diterima.

       Tabel di bawah ini menggambarkan jatuh tempo                                             The following table sets out the contractual
       kontraktual (digambarkan dengan arus kas                                                 maturities (representing undiscounted contractual
       kontraktual yang tidak didiskontokan) dari aset dan                                      cash flows) of financial assets and liabilities:
       liabilitas keuangan:

                                                      30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                                   Telah Jatuh Tempo/Past Due
                       <=1 bulan/          1-3 bulan/           3-6 bulan/            6-12 bulan/           >= 12 bulan/
                                                                                                                              Total/Total
                       <= 1 month          1-3 months           3-6 months           6-12 months            >= 12 months
  Liabilitas                                                                                                                                                  Liabilities
  Utang bank            12.637.827.605     64.307.009.804      45.510.647.250        88.364.873.364        720.371.632.563    931.191.990.586               Bank loans
  Utang nasabah         37.869.431.432                -                   -                     -                      -       37.869.431.432    Payables to customers
  Utang klaim           28.569.245.030                -                   -                     -                      -       68.667.534.884          Claims payable
  Utang reasuransi     855.120.500.760                -                   -                     -                      -      297.468.174.885      Due to reinsurance
  Utang koasuransi       5.639.731.794                -                   -                     -                      -        6.051.199.999      Due to coinsurance
  Utang komisi          54.443.292.523                -                   -                     -                      -       52.812.146.360    Commissions payables
  Utang lain-lain -                                                                                                                                  Other Payables -
   pihak ketiga         71.803.549.254                -                   -                     -                      -       71.803.549.254            third parties
  Beban akrual -                                                                                                                                   Accrued expenses -
   pihak ketiga         38.338.369.703                -                   -                     -                      -       38.338.369.703            third parties
  Liabilitas sewa       12.637.827.605     39.307.009.804      45.510.647.250       113.256.826.058        230.048.884.902    440.761.195.619         Lease liabilities
  Total liabilitas                                                                                                                                       Total financial
   keuangan           1.117.059.775.706   103.614.019.608      91.021.294.500       201.621.699.422        950.420.517.465   1.944.963.592.722                liabilities




                                                                                 232
Page 237
                                                                                      The original consolidated financial statements included herein are in
                                                                                                                                       Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                                  AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                             INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                                  FINANCIAL POSITION
Tanggal 30 September 2024                                                                                              As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                  (Expressed in Rupiah, unless otherwise stated)



43. MANAJEMEN                     RISIKO        KEUANGAN                      43. FINANCIAL RISK MANAGEMENT (Continued)
(Lanjutan)

Risiko Likuiditas (Lanjutan)                                                        Liquidity Risk (Continued)
                                                                31 Desember/ December 31, 2023
                                                                Telah Jatuh Tempo/Past Due
                          <=1 bulan/        1-3 bulan/       3-6 bulan/          6-12 bulan/          >= 12 bulan/
                                                                                                                          Total/Total
                          <= 1 month        1-3 months       3-6 months          6-12 months          >= 12 months
      Liabilitas                                                                                                                                         Liabilities
      Utang bank            7.418.643.580   14.866.383.702   21.986.687.140       95.205.350.134      364.351.558.614    503.828.623.170               Bank loans
      Utang nasabah                   -                -                -                    -                    -                  -      Payables to customers
      Utang klaim          68.667.534.884              -                -                    -                    -       68.667.534.884          Claims payable
      Utang reasuransi    297.468.174.885              -                -                    -                    -      297.468.174.885      Due to reinsurance
      Utang koasuransi      6.051.199.999              -                -                    -                    -        6.051.199.999      Due to coinsurance
      Utang komisi         52.812.146.360              -                -                    -                    -       52.812.146.360    Commissions payables
      Utang lain-lain -                                                                                                                         Other Payables -
       pihak ketiga        62.381.836.346                -              -                    -                    -       62.381.836.346            third parties
      Beban akrual -                                                                                                                          Accrued expenses -
       pihak ketiga        20.831.560.224                -              -                   -                     -       20.831.560.224            third parties
      Liabilitas sewa                 -                  -              -           865.924.564       492.373.437.022    493.239.361.586         Lease liabilities
      Total liabilitas                                                                                                                              Total financial
       keuangan           515.631.096.278   14.866.383.702   21.986.687.140       96.071.274.698      856.724.995.636   1.505.280.437.454                liabilities




44.      MANAJEMEN MODAL                                                            44.     CAPITAL MANAGEMENT

         Grup     mengelola modal ditujukan untuk                                           The Group manages its capital to ensure that they
         memastikan kemampuan Grup melanjutkan usaha                                        will be able to continue as going concern while
         secara berkelanjutan dan memaksimumkan imbal                                       maximizing the return to stakeholders through the
         hasil kepada pemegang saham melalui optimalisasi                                   optimization of the debt and equity balance. In
         saldo liabilitas dan ekuitas. Untuk memelihara atau                                order to maintain or achieve an optimal capital
         mencapai struktur modal yang optimal, Grup dapat                                   structure, the Group may adjust the amount of
         menyesuaikan jumlah pembayaran dividen,                                            dividend payment, return capital to shareholders,
         pengurangan modal, penerbitan saham baru atau                                      issue new shares or buy back issued shares, obtain
         membeli kembali saham beredar, mendapatkan                                         new borrowings or sell assets to reduce
         pinjaman baru atau menjual aset untuk mengurangi                                   borrowings.
         pinjaman.




                                                                              233
Page 238
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


44.   MANAJEMEN MODAL (Lanjutan)                                  44.    CAPITAL MANAGEMENT (Continued)

      Pada tanggal 18 Maret 2022, Ijin Usaha Perusahaan                  On March 18, 2022, the Securities Company's
      Efek sebagai penjamin emisi efek telah dicabut,                    Business License as an underwriter has been
      sehingga BPS, Entitas Anak, beroperasi sebagai                     revoked, so that the BPS’s, Subsidiary, operates as
      perantara    pedagang      efek     yang     tidak                 a brokerage dealer which does not administer
      mengadministrasikan rekening efek nasabah (PPE                     customers’ account (PPE Non AB). Related to this,
      Non AB). Terkait hal tersebut, maka sesuai Pasal 2                 in accordance with Article 2 paragraph (3) of
      ayat (3) POJK No. 52/POJK.04/2020, BPS, Entitas                    POJK No. 52/POJK.04/2020, the BPS’s,
      Anak, tetap wajib memiliki MKBD minimal yang                       Subsidiary, must still have a minimum required
      diwajibkan sebesar Rp 200.000.000 pada tanggal                     MKBD       of      Rp    200,000,000      as     at
      31 Desember 2022.                                                  December 31, 2022.

      Jika hal ini tidak diawasi dan disesuaikan, tingkat                If not properly monitored and adjusted, the
      modal kerja sesuai peraturan dapat berada di bawah                 regulatory working capital levels could fall below
      jumlah minimum yang ditetapkan oleh regulator,                     the required minimum amounts set by the
      yang dapat mengakibatkan berbagai sanksi mulai                     regulators, which could expose various sanctions
      dari denda sampai dengan penghentian sebagian                      ranging from fines and censure to imposing partial
      atau seluruh kegiatan usaha. Untuk mengatasi                       or complete restrictions on its ability to conduct
      risiko ini, Grup terus mengevaluasi tingkat                        business. To address the risk, the Group
      kebutuhan modal kerja berdasarkan peraturan dan                    continuously evaluates the levels of regulatory
      memantau perkembangan peraturan tentang modal                      capital requirements and monitors regulatory
      kerja bersih yang disyaratkan dan mempersiapkan                    developments regarding net working capital
      peningkatan batas minimum yang diperlukan sesuai                   requirements and prepare for increases in the
      peraturan yang mungkin terjadi dari waktu ke                       required minimum levels of regulatory capital that
      waktu di masa datang.                                              may occur from time to time in the future.

      Tabel dibawah ini merangkum jumlah modal yang                      The following table summarizes the total capital
      dipertimbangkan oleh Grup pada tanggal                             considered by the Group as at September 30, 2024
      30 September 2024 dan 31 Desember 2023:                            and December 2023 :

                                          30 September/                  31 Desember/
                                        September 30, 2024               December 31,
                                          (Tidak Diaudit/               2023 (Diaudit/
                                            Unaudited)                     Audited)
  Modal saham                                 51.549.866.200              51.549.866.200                          Share capital
  Tambahan modal disetor - neto               39.024.486.889              39.024.486.889        Additional paid-in capital - net
  Saham treasuri                            (229.830.990.000)           (229.830.990.000)                      Treasury shares
  Selisih atas transaksi                                                                                   Differences in value
  dengan Kepentingan Non-                                                                                  of transactions with
  pengendali                                 (55.045.350.931)             (55.045.350.931)             Non-controlling Interest
  Cadangan lain-lain                            (451.505.482)                (451.505.482)                       Other reserves
  Saldo laba                                                                                                 Retained earnings
    Telah ditentukan penggunaannya               500.000.000                  500.000.000                       Appropriated
    Belum ditentukan penggunaannya         1.498.472.067.015            1.476.508.144.829                   Unappropriated
  Penghasilan komprehensif lain               51.570.477.853               63.408.879.208         Other comprehensive income
  Ekuitas yang dapat diatribusikan                                                                    Equity attributable to the
    kepada pemilik Entitas Induk           1.355.789.051.544            1.345.663.530.713        Owners of the Parent Entity
  Kepentingan Non-pengendali                311.814.103.101               304.803.959.862              Non-controlling Interest
  Total                                    1.667.603.154.645            1.650.467.490.575                                    Total
                                                            234
Page 239
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


45.   ANALISA   MATURITAS              ASET        DAN         45.   MATURITY ANALYSIS OF ASSETS AND
      KEWAJIBAN                                                      LIABILITIES

      Tabel di bawah ini menunjukkan analisis aset dan               The table below shows an analysis of assets and
      kewajiban sesuai kapan mereka diharapkan untuk                 liabilities according when they expected to be
      dipulihkan atau diselesaikan:                                  recovered or settled, respectively:

                                 30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                          Setelah 12
                            Dalam 12 bulan/
                                                        bulan/After 12                  Total
                            Within 12 months
                                                            months

ASET                                                                                                                         ASSETS
                                                                                                                     Cash and cash
 Kas dan setara kas             241.431.832.989                            -             241.431.832.989                equivalents
                                                                                                                         Marketable
 Portofolio efek                                                                                                          securities
  Pihak ketiga                  653.806.491.834                            -             653.806.491.834             Third parties
  Pihak berelasi                244.465.341.507                            -             244.465.341.507           Related parties
                                                                                                                   Operating lease
 Piutang sewa operasi                                                                                                   receivables
  Pihak ketiga - neto            64.420.482.421                            -               64.420.482.421       Third parties - net
                                                                                                                  Receivables from
 Piutang nasabah                                                                                                         customers
  Pihak ketiga                    8.438.670.116                            -                8.438.670.116            Third parties
  Pihak berelasi                 30.052.411.561                            -               30.052.411.561          Related parties
                                                                                                                           Premiums
 Piutang premi - neto           317.006.812.674                            -             317.006.812.674         receivables - net
                                                                                                                           Due from
 Piutang reasuransi             185.099.249.204                            -             185.099.249.204               reinsurance
 Piutang lain-lain -                                                                                            Other receivables -
  pihak ketiga                   77.247.836.205                            -               77.247.836.205             third parties
 Investasi pada entitas                                                                                               Investment in
  asosiasi                                   -                 20.174.223.193              20.174.223.193          associate entity
 Aset reasuransi                                                                                                Reinsurance assets
  Estimasi klaim                                                                                                  retention claims
   retensi sendiri              224.019.208.527                            -             224.019.208.527          Estimated own
  Premi yang belum
   merupakan                                                                                                             Unearned
   pendapatan                                -                             -                           -                premiums
 Pendapatan yang                                                                                                          Unbilled
  belum ditagih                   1.889.715.296                            -                1.889.715.296                 revenue
 Uang muka dan beban                                                                                                  Advance and
  dibayar di muka               261.642.574.045                           -              261.642.574.045         prepaid expenses
 Pajak dibayar dimuka            13.390.747.542                           -               13.390.747.542             Prepaid taxes
 Penyertaan saham                           -                   1.538.100.000              1.538.100.000       Investment in shares
                                                                                                                      Property and
 Aset tetap - neto                           -             1.849.070.549.670            1.849.070.549.670          equipment - net

 Properti investasi                          -                 7.391.000.000                7.391.000.000     Investment properties
 Aset pajak tangguhan                        -                15.967.487.388               15.967.487.388       Deferred tax assets
 Aset lain-lain                              -                10.288.659.420               10.288.659.420             Other assets
Total Aset                     2.322.911.373.921           1.904.430.019.672            4.227.341.393.593              Total Assets



                                                         235
Page 240
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


45.   ANALISA   MATURITAS              ASET        DAN         45.   MATURITY ANALYSIS OF ASSETS AND
      KEWAJIBAN (Lanjutan)                                           LIABILITIES (Continued)


                                 30 September/ September 30, 2024 (Tidak Diaudit/ Unaudited)
                                                          Setelah 12
                            Dalam 12 bulan/
                                                        bulan/After 12                  Total
                            Within 12 months
                                                            months
Liabilitas                                                                                                                  Liabilities
 Utang bank                                 -               931.191.990.586              931.191.990.586                 Bank loans
                                                                                                                        Payables to
 Utang nasabah                   37.869.431.432                            -               37.869.431.432                customers
 Utang klaim                                                                                                        Claims payable
  Pihak ketiga                   28.569.245.030                            -               28.569.245.030            Third parties
                                                                                                                       Reinsurance
 Liabilitas reasuransi                                                                                                    liabilities
                                                                                                                     Estimated own
 Estimasi klaim                                                                                                            retention
  retensi sendiri               275.789.982.113                            -             275.789.982.113                      claims
 Premi yang belum
  merupakan                                                                                                             Unearned
  pendapatan                    579.330.518.647                            -             579.330.518.647               premiums
 Utang reasuransi               353.603.306.313                            -             353.603.306.313      Reinsurance payable
 Utang koasuransi                 5.639.731.794                            -               5.639.731.794      Coinsurance payable
 Utang komisi                    54.443.292.523                            -              54.443.292.523      Commission payable
 Utang lain-lain                                                                                                   Other payables
  Pihak ketiga                   71.803.549.254                            -               71.803.549.254            Third parties

 Beban akrual                                                                                                    Accrued expenses
  Pihak ketiga                   38.338.369.703                            -               38.338.369.703            Third parties
 Uang jaminan                                                                                                    Customer security
  pelanggan                                 -                  30.611.033.013             30.611.033.013                  deposits
 Liabilitas kontrak              12.036.740.330                           -               12.036.740.330        Contract Liabilities
  Utang pajak                    10.701.185.566                           -               10.701.185.566           Taxes payable
 Liabilitas sewa                440.761.195.619                           -              440.761.195.619           Lease liabilities
                                                                                                                 Employee benefits
 Liabilitas imbalan kerja                   -                  36.920.637.605              36.920.637.605               liabilities
 Liabilitas pajak                                                                                                     Deferred tax
  tangguhan                                 -                 13.139.771.380               13.139.771.380               liabilities
Total Liabilitas              1.908.886.548.324            1.011.863.432.584            2.920.749.980.908          Total Liabilities




                                                         236
Page 241
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


45.      ANALISA   MATURITAS             ASET        DAN         45.   MATURITY ANALYSIS OF ASSETS AND
         KEWAJIBAN (Lanjutan)                                          LIABILITIES (Continued)
                                                31 Desember 2023/December 31, 2023
                                                              Setelah 12
                               Dalam 12 bulan/
                                                           bulan/After 12                     Total
                               Within 12 months
                                                               months

  ASET                                                                                                                       ASSETS
                                                                                                                     Cash and cash
      Kas dan setara kas           361.428.478.152                          -             361.428.478.152               equivalents
                                                                                                                         Marketable
      Portofolio efek                                                                                                     securities
       Pihak ketiga                759.310.048.208                          -             759.310.048.208            Third parties
       Pihak berelasi              160.854.429.010                          -             160.854.429.010          Related parties
                                                                                                                   Operating lease
      Piutang sewa operasi                                                                                              receivables
       Pihak ketiga - neto          31.398.231.762                          -               31.398.231.762      Third parties - net
                                                                                                                  Receivables from
      Piutang nasabah                                                                                                    customers
       Pihak ketiga                  8.709.939.343                          -                8.709.939.343           Third parties
       Pihak berelasi               27.831.686.930                          -               27.831.686.930         Related parties
                                                                                                                           Premiums
      Piutang premi - neto         338.037.348.148                          -             338.037.348.148        receivables - net
                                                                                                                           Due from
      Piutang reasuransi           100.091.820.676                          -             100.091.820.676              reinsurance
      Piutang lain-lain -                                                                                       Other receivables -
       pihak ketiga                 15.304.817.853                          -               15.304.817.853            third parties
      Investasi pada entitas                                                                                          Investment in
       asosiasi                                -                 16.837.388.206             16.837.388.206         associate entity
      Aset reasuransi                                                                                           Reinsurance assets
       Estimasi klaim                                                                                             retention claims
        retensi sendiri            359.653.006.407                          -             359.653.006.407         Estimated own
       Premi yang belum
        merupakan                                                                                                        Unearned
        pendapatan                 318.732.738.378                          -             318.732.738.378               premiums
      Pendapatan yang                                                                                                     Unbilled
       belum ditagih                13.102.843.847                          -               13.102.843.847                revenue
      Uang muka dan beban                                                                                             Advance and
       dibayar di muka              94.329.907.070                          -               94.329.907.070       prepaid expenses
      Pajak dibayar dimuka           7.804.822.623                          -                7.804.822.623           Prepaid taxes
      Penyertaan saham                         -                  2.163.100.000              2.163.100.000     Investment in shares
                                                                                                                      Property and
      Aset tetap - neto                        -             1.493.089.861.951           1.493.089.861.951         equipment - net

   Properti investasi                          -                 7.391.000.000               7.391.000.000    Investment properties
   Aset pajak tangguhan                        -                16.305.779.521              16.305.779.521      Deferred tax assets
   Aset lain-lain                              -                30.009.501.512              30.009.501.512            Other assets
  Total Aset                     2.596.590.118.407           1.565.796.631.190           4.162.386.749.597             Total Assets




                                                           237
Page 242
                                                                 The original consolidated financial statements included herein are in
                                                                                                                  Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                         PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                         AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                         FINANCIAL POSITION
Tanggal 30 September 2024                                                                     As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)


45. ANALISA MATURITAS              ASET      DAN       45.     MATURITY ANALYSIS OF ASSETS AND
KEWAJIBAN (Lanjutan)                                           LIABILITIES (Continued)

                                              31 Desember 2023/December 31, 2023
                                                            Setelah 12
                             Dalam 12 bulan/
                                                         bulan/After 12                     Total
                             Within 12 months
                                                             months
 Liabilitas                                                                                                                Liabilities
  Utang bank                                 -               503.828.623.170             503.828.623.170                Bank loans
                                                                                                                       Payables to
  Utang nasabah                   21.617.797.563                           -              21.617.797.563                customers
  Utang klaim                                                                                                      Claims payable
   Pihak ketiga                   68.667.534.884                           -              68.667.534.884            Third parties
                                                                                                                      Reinsurance
  Liabilitas reasuransi                                                                                                  liabilities
                                                                                                                    Estimated own
  Estimasi klaim                                                                                                          retention
   retensi sendiri               407.023.291.959                           -             407.023.291.959                     claims
  Premi yang belum
   merupakan                                                                                                           Unearned
   pendapatan                    468.333.712.414                           -             468.333.712.414              premiums
  Utang reasuransi               297.468.174.885                           -             297.468.174.885     Reinsurance payable
  Utang koasuransi                 6.051.199.999                           -               6.051.199.999     Coinsurance payable
  Utang komisi                    52.812.146.360                           -              52.812.146.360     Commission payable
  Utang lain-lain                                                                                                 Other payables
   Pihak ketiga                   62.381.836.346                           -              62.381.836.346            Third parties

  Beban akrual                                                                                                  Accrued expenses
   Pihak ketiga                   20.831.560.224                           -              20.831.560.224            Third parties
  Uang jaminan                                                                                                  Customer security
   pelanggan                                 -                 45.745.162.058             45.745.162.058                 deposits
  Liabilitas kontrak                 275.519.844                          -                  275.519.844       Contract Liabilities
   Utang pajak                    15.005.298.243                          -               15.005.298.243          Taxes payable
  Liabilitas sewa                493.239.361.586                          -              493.239.361.586          Lease liabilities
                                                                                                                Employee benefits
  Liabilitas imbalan kerja                   -                 37.440.785.583             37.440.785.583               liabilities
  Liabilitas pajak                                                                                                   Deferred tax
   tangguhan                                 -                11.102.477.492              11.102.477.492               liabilities
 Total Liabilitas              1.913.707.434.307             598.117.048.303           2.511.824.482.610          Total Liabilities




                                                         238
Page 243
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


46.   INFORMASI PENTING LAINNYA                                   46.   OTHER SIGNIFICANT INFORMATION

      PT Malacca Trust Wuwungan Insurance Tbk                           PT Malacca Trust Wuwungan Insurance Tbk
      (MTWI)                                                            (MTWI)

      Analisis Kekayaan dan Perhitungan Batas                           Asset Analysis and Calculation of Solvency
      Tingkat Solvabilitas                                              Margin
      Entitas Induk bergerak dalam bidang asuransi.                     The Parent Entity is engaged in insurance
      Berdasarkan Peraturan Menteri Keuangan Republik                   activities. Based on Regulation No. 53/PMK.010/
      Indonesia    No.    53/PMK.010/2012       tanggal                 2012 dated April 3, 2012 of the Ministry of Finance
      3 April 2012, Entitas Induk setiap saat wajib                     of the Republic of Indonesia, the Parent Entity is
      memenuhi tingkat solvabilitas paling rendah 100%                  required to fulfill a solvency margin limit of at least
      dari modal minimum berbasis risiko yang dihitung                  100% from risk base minimum capital which is
      dengan menggunakan pendekatan Risk Based                          calculated using the Risk Based Capital (RBC)
      Capital (RBC). Entitas Induk setiap tahun wajib                   Approach. The Parent Entity has to establish, at all
      memenuhi target tingkat solvabilitas minimum                      years, a solvency margin target of at least 120% of
      sebesar 120% dari risiko kerugian yang mungkin                    risk of loss that might arise from deviation of assets
      timbul sebagai akibat dari deviasi dalam                          and liabilities management.
      pengelolaan kekayaan dan liabilitas.

      Tingkat solvabilitas dihitung dengan mengurangi                   Solvency margin is calculated by deducting all
      seluruh liabilitas (kecuali pinjaman subordinasi)                 liabilities (except for subordinated loans) from
      dari kekayaan yang diperkenankan. Entitas Induk                   admitted assets. The Parent Entity has calculated
      telah menghitung batas solvabilitas dengan                        the solvency margin limit by using the instructions
      menggunakan petunjuk perhitungan RBC yang                         of RBC calculation issued by Financial Services
      dikeluarkan oleh Otoritas Jasa Keuangan (OJK)                     Authority (OJK) (formerly the Capital Market
      (d/h Badan Pengawas Pasar Modal - Lembaga                         Supervisory Agency - Financial Institution).
      Keuangan).

      Batas tingkat solvabilitas minimum dihitung                       Minimum solvency margin is calculated by
      dengan mempertimbangkan kegagalan pengelolaan                     considering unsuccessful assets management,
      kekayaan, ketidakseimbangan antara proyeksi arus                  imbalance between projected flows of assets and
      kekayaan dan liabilitas, ketidakseimbangan antara                 liabilities, imbalance between assets and liabilities
      nilai kekayaan dan liabilitas dalam setiap jenis                  value in each currency, the differences between
      mata uang, perbedaan antara beban klaim yang                      claims expense incurred and estimated claims
      terjadi dan beban klaim yang diperkirakan,                        expense, insufficient premium as a result of
      ketidakcukupan premi akibat perbedaan hasil                       differences between investment income assumed in
      investasi yang diasumsikan dalam penetapan premi                  determining premiums and investment income
      dengan      hasil   investasi    yang    diperoleh,               earned, inability of reinsurer to pay claims and
      ketidakmampuan        pihak    reasuradur    untuk                other deviations arising from assets and liabilities
      memenuhi liabilitas membayar klaim dan deviasi                    management.
      lainnya yang timbul dari pengelolaan kekayaan dan
      liabilitas.

      Pada tanggal 30 September 2024 dan 31 Desember                    As at September 30, 2024 and December 31, 2024,
      2023 , rasio pencapaian solvabilitas yang dihitung                solvency margin ratio which was calculated based
      sesuai dengan Peraturan Menteri Keuangan                          on Regulation No. 53/PMK.010/2012 of the
      Republik Indonesia No. 53/PMK.010/2012,                           Minister of Finance of the Republic of Indonesia
      Peraturan Bapepam - LK No. PER 09/BL/2011 dan                     and the Bapepam-LK regulation No. PER
      No. PER-08/BL/2012, masing-masing adalah                          09/BL/2011 and No. PER-08/BL/2012, was 202%
      sebesar 202% dan 230%.                                            and 230%, respectively.

                                                            239
Page 244
                                                                                     The original consolidated financial statements included herein are in
                                                                                                                                      Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                              PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                             AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                                        INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                             FINANCIAL POSITION
Tanggal 30 September 2024                                                                                         As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                             (Expressed in Rupiah, unless otherwise stated)


46.      INFORMASI PENTING LAINNYA (Lanjutan)                                       46.   OTHER       SIGNIFICANT                  INFORMATION
                                                                                          (Continued)
         Analisis Kekayaan dan Perhitungan Batas                                          Asset Analysis and Calculation of Solvency
         Tingkat Solvabilitas (Lanjutan)                                                  Margin (Continued)
         Perhitungan analisis kekayaan dan batas tingkat                                  MTWI’s, Subsidiary, computations of minimum
         solvabilitas MTWI, Entitas Anak, adalah sebagai                                  solvency margin limit and analysis of admitted
         berikut:                                                                         assets are as follows:
                                                           30 September 2024/ September 30, 2024
                                                                 (Tidak Diaudit/ Unaudited)
                                                          Kekayaan belum          Kekayaan tidak
                                          Kekayaan          dibukukan/            diperkenankan/             Kekayaan
                                         dibukukan/          Non-ledger            Not-admitted           diperkenankan/
                                        Recorded assets        Assets                  assets             Admitted assets

Investasi                                                                                                                                       Investments
  Deposito berjangka                    114.569.000.000                  -                        -        114.569.000.000                Time deposits
  Obligasi                              391.054.327.516                  -                        -        391.054.327.516                        Bonds
  Efek ekuitas                            8.038.100.000      1.678.359.460                        -          9.716.459.460              Equity securities

                                        513.661.427.516      1.678.359.460                        -        515.339.786.976

Kas dan bank                             31.203.602.098                   -                       -         31.203.602.098                   Cash in banks
Piutang premi                           317.006.812.674                   -           9.773.189.777        307.233.622.897            Premium receivables
Piutang reasuransi                      185.099.249.204                   -          92.167.497.448         92.931.751.756        Reinsurance receivables
Piutang hasil investasi                   5.995.604.492                   -                       -          5.995.604.492      Receivable from investment
Aset reasuransi                         585.030.950.487                   -                       -        585.030.950.487              Reinsurance assets
Klaim Reasuransi                                                          -                       -                      -              Reinsurance claim
Bangunan dengan hak                                                                                                                  Land and building net
  strata atau tanah                                                                                                                      of accumulated
  dengan bangunan                        18.723.237.026                   -                       -          18.723.237.026                Depreciation
Aset lain-lain                           33.276.675.198                   -          33.276.675.198                       -                    Other assets

Total Kekayaan                     1.689.997.558.695         1.678.359.460          135.217.362.423       1.556.458.555.732                   Total Assets


                                                           31 Desember 2023/ December 31, 2023
                                                                      (Diaudit/ Audited)
                                                          Kekayaan belum          Kekayaan tidak
                                          Kekayaan          dibukukan/             diperkenankan/            Kekayaan
                                         dibukukan/         Non-ledger               Not-admitted         diperkenankan/
                                        Recorded assets        Assets                    assets           Admitted assets

Investasi                                                                                                                                       Investments
  Deposito berjangka                    112.000.000.000                  -                        -        112.000.000.000                Time deposits
  Obligasi                              308.334.140.499                  -                        -        308.334.140.499                        Bonds
  Efek ekuitas                            8.038.100.000      1.540.938.242                        -          9.579.038.242              Equity securities

                                        428.372.240.499      1.540.938.242                        -        429.913.178.741

Kas di bank                              16.023.948.811                   -                       -         16.023.948.811                   Cash in banks
Piutang premi                           338.037.348.148                   -           3.276.089.802        334.761.258.346            Premium receivables
Piutang reasuransi                       14.640.818.002                   -           8.531.873.095          6.108.944.907        Reinsurance receivables
Piutang hasil investasi                   5.635.030.156                   -                       -          5.635.030.156      Receivable from investment
Aset reasuransi                         678.385.744.785                   -                       -        678.385.744.785              Reinsurance assets
Klaim Reasuransi                         67.684.328.959                   -          39.102.146.145         28.582.182.814              Reinsurance claim
Bangunan dengan hak                                                                                                                  Land and building net
  strata atau tanah                                                                                                                      of accumulated
  dengan bangunan                        19.007.845.259                   -                       -          19.007.845.259                Depreciation
Aset lain-lain                           39.498.450.092                   -          39.498.450.092                       -                    Other assets

Total Kekayaan                     1.607.285.754.711         1.540.938.242           90.408.559.134       1.518.418.133.819                   Total Assets

*Tidak dikonsolidasi/Not consolidated




                                                                              240
Page 245
                                                                          The original consolidated financial statements included herein are in
                                                                                                                           Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                                  PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                                   AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                              INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                                   FINANCIAL POSITION
Tanggal 30 September 2024                                                                               As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)


46.       INFORMASI PENTING LAINNYA (Lanjutan)                           46.    OTHER       SIGNIFICANT                 INFORMATION
                                                                                (Continued)

          PT Malacca Trust Wuwungan Insurance Tbk                               PT Malacca Trust Wuwungan Insurance Tbk
          (MTWI) (Lanjutan)                                                     (MTWI) (Continued)

          Analisis Kekayaan dan Perhitungan Batas                               Asset Analysis and Calculation of Solvency
          Tingkat Solvabilitas (Lanjutan)                                       Margin (Continued)

                                              30 September 2024/     31 Desember 2023/
                                              September 30, 2024     December 31, 2023
                                                (Tidak Diaudit/          (Diaudit/
                                                  Unaudited)             Audited)

Tingkat Solvabilitas                                                                                                 Solvency Margin
 Aset yang diperkenankan                      1.556.458.555.730          1.518.418.133.817                           Admitted assets
 Liabilitas                                   1.361.471.630.019          1.327.713.843.931                                Liabilities

Total Tingkat Solvabilitas                      194.986.925.710           190.704.289.886                     Total Solvency Margin

Modal Minimum Berbasis Risiko                                                                             Minimum Solvency Margin
 (MMBR)                                                                                                                (MMBR)
 Risiko kredit                                   49.417.580.044            51.169.008.874                             Credit risk
 Risiko likuiditas                                8.487.291.015             4.035.867.748                          Liquidity risk
 Risiko pasar                                     3.090.690.916             2.580.653.087                            Market risk
 Risiko asuransi                                 35.051.321.090            24.605.350.129                         Insurance risk
 Risiko operasional                                 675.927.270               450.105.700                         Operating risk

Total MMBR                                       96.722.810.335            82.840.985.538                                Total MMBR

Kelebihan Batas Tingkat                                                                                            Excess of Solvency
 Solvabilitas                                    98.264.115.375           107.863.304.348                                   Margin

Rasio Pencapaian Solvabilitas                            202%                         230%                   Solvency Ratio Attained

      *Tidak dikonsolidasi/Not consolidated


      Rasio Keuangan                                                           Financial Ratio

                                              30 September 2024/     31 Desember 2023/
                                              September 30, 2024     December 31, 2023
                                                (Tidak Diaudit/          (Diaudit/
                                                  Unaudited)             Audited)

Rasio likuiditas                                         118%                          118%                           Liquidity ratio
Rasio kecukupan investasi                                180%                          207%               Investment adequacy ratio
Rasio perimbangan hasil investasi                                                                        Return on investment of net
 dengan pendapatan premi neto                               8%                          10%                 premium income ratio
Rasio beban klaim, beban usaha,                                                                   Ratio of claim expenses, operating
 dan komisi terhadap pendapatan                                                                     expenses, and commissions to
 premi neto                                               62%                           56%                   net premium income
Rasio biaya pelatihan dan                                                                             Education and training cost to
 pendidikan terhadap biaya gaji                                                                             salary and allowances
 dan tunjangan                                              5%                           5%                              cost ratio




                                                                   241
Page 246
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                          AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                     INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                          FINANCIAL POSITION
Tanggal 30 September 2024                                                                      As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)


47.   PERISTIWA           SETELAH            PERIODE             47.   EVENTS AFTER THE REPORTING PERIOD
      PELAPORAN

      Pada tanggal 16 Oktober 2024, entitas induk                      In October 16, 2024, parent entitiy connection with
      melakukan perpanjangan fasilitas kredit modal                    the extension of the working capital credit facility
      kerja Rp 20.000.000.000,- dan penambahan                         amounting Rp 20,000,000,000 and the addition of
      fasilitas kredit pembelian kendaraan sebesar Rp                  credit facility to vehicle purchasing amounting to
      150.000.000.000,- yang diperoleh BPTR, entitas                   Rp 150,000,000,000 obtained by BPTR, a
      anak perseroan dari PT Bank Victoria International               subsidiary of the Company from PT Bank Victoria
      Tbk (BVIC), Perseroan telah menandatangani Akta                  International Tbk (BVIC), the company has signed
      Pemberian Jaminan Perusahaan sebesar Rp                          a Corporate Guarantee Deed amounting to Rp
      150.000.000.000,- kepada BVIC.                                   150,000,000,000 in favor of BVIC.
      Pemberian jaminan Perseroan kepada BVIC                          Providing company guarantee to BVIC is not an
      bukanlah merupakan transaksi afiliasi dan benturan               affiliate transaction and confilict of interest as
      kepentingan sebagaimana dimaksud Peraturan                       inteded in regulation No.42/POJK.04/2020 dated 1
      No.42/POJK.04/2020 tanggal 1 Juli 2020 dan juga                  July 2020 and also not a material transaction as
      bukan merupakan transaksi material sebaimana                     intended in regulation No. 17/POJK.04/2020 dated
      yang       dimaksud       dalam          Peraturan               20 April 2020.
      No.17/POJK.04/2020 tanggal 20 April 2020.
      Tidak ada dampak kejadian, informasi atau fakta                  There are no impacts, information, or material
      material terhadap kegiatan operasional, hukum,                   facts that affect the operational activities, legal
      kondisi keuangan, atau kelangsungan usaha karena                 status, financial condition, or going concern
      transaksi tersebut.                                              because of that transaction.

48.   RENCANA   MANAJEMEN                 TERHADAP               48.   MANAGEMENT                PLAN         ON        BUSINESS
      KELANGSUNGAN USAHA                                               CONTINUITY
      Rencana Manajemen                                                Management Plan

      PT Batavia Prosperindo Sekuritas                                 PT Batavia Prosperindo Sekuritas

      Entitas anak PT Batavia Prosperindo Sekuritas                    The child entity, PT Batavia Prosperindo Sekuritas
      memiliki    keuntungan    usaha    sebesar    Rp                 has profit with amount Rp 6.812.716.765 on
      6.812.716.765 pada laporan keuangan yang                         financial statement which ended on September 30,
      berakhir ada tanggal 30 September 2024. Pada                     2024. On March 18, 2022 the Company has
      tanggal 18 Maret 2022 Perusahaan menerima                        received the approval from Financial Services
      persetujuan dari Otoritas Jasa Keuangan terkait                  Authority regarding the request to return its
      pengajuan pengembalian Ijin Penjamin Emisi Efek                  Securities Underwriter Permit. These conditions
      oleh      Perusahaan.      Kondisi      tersebut,                indicate the existence of a material uncertainty that
      mengindikasikan adanya suatu ketidakpastian                      may cast significant doubt about the ability of the
      material yang dapat menyebabkan keraguan                         Company to continue as a going concern.
      signifikan atas kemampuan Perusahaan untuk
      mempertahankan kelangsungan usahanya.

      Untuk mengatasi kondisi di atas, manajemen                        To manage the above conditions, the Company's
      perusahaan berencana melakukan antara lain hal-                   management plans to do are:
      hal sebagai berikut:                                             • Maintain the principle of prudence in
       •     Mempertahankan     prinsip   kehati-hatian                    managing the Company's business;
             dalam mengelola usaha Perusahaan;                         • Continue to strive for efficiency in the
       •     Terus mengusahakan efisiensi biaya                            Company's costs;
             Perusahaan;

                                                           242
Page 247
                                                                  The original consolidated financial statements included herein are in
                                                                                                                   Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                          PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                              AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                         INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                              FINANCIAL POSITION
Tanggal 30 September 2024                                                                          As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                              (Expressed in Rupiah, unless otherwise stated)


48.   RENCANA   MANAJEMEN                  TERHADAP              48.   MANAGEMENT                PLAN         ON        BUSINESS
      KELANGSUNGAN USAHA                                               CONTINUITY

      Rencana Manajemen                                                Management Plan
      PT Batavia Prosperindo Sekuritas (lanjutan)                      PT Batavia Prosperindo Sekuritas (continued)
      Untuk mengatasi kondisi di atas, manajemen                        To manage the above conditions, the Company's
      perusahaan berencana melakukan antara lain hal-                   management plans to do among others the
      hal sebagai berikut: (lanjutan)                                   following: (continued)
       •     Menjaga optimalisasi arus kas Perusahaan;                 • Maintain the optimization of the Company's
       •     Memenuhi        ketentuan  sesuai   dengan                     cash flow;
             peraturan yang berlaku;                                   • Meet the provisions in accordance with
       •     Mengusahakan agar adanya potensi investor                      applicable regulations;
             yang dapat melakukan pengembangan usaha                   • Striving for potential investors who can
             Perusahaan.                                                    develop the Company's business.
      Menyikapi kondisi tersebut, Perusahaan akan                      In response to these conditions, the Company’s
      menerapkan strategi bisnis yang berfokus dalam                   management will implement business strategies
      meningkatkan optimalisasi arus kas dan efisiensi                 whichfocuses on increasing cash flow optimization
      biaya.                                                           and cost efficiency.

49.   STANDAR, AMENDEMEN/ PENYESUAIAN                        49.       STANDARDS,AMENDMENTS/IMPROVEMENTS
      DAN INTERPRETASI STANDAR TELAH                                   AND INTERPRETATIONS TO STANDARDS
      DITERBITKAN     TAPI     BELUM                                   ISSUED NOT YET ADOPTED
      DITERAPKAN
      Dewan Standar Akuntansi Keuangan Indonesia                       The Indonesian Financial Accounting Standards
      (DSAK-IAI) telah menerbitkan amandemen                           Board (DSAK-IAI) has issued amendment to the
      Standar Akuntansi Keuangan (PSAK) berikut ini.                   following    Indonesian      Financial    Accounting
      Standar akuntansi yang diubah akan berlaku                       Standards (“SFAS”). The amended accounting
      efektif atau berlaku untuk laporan keuangan                      standards will be effective or applicable on the
      konsolidasian Grup untuk periode yang dimulai                    Group’s consolidated financial statements for the
      pada atau setelah tanggal 1 Januari 2024:                        period beginning on or after January 1, 2024:
          -   Amandemen PSAK 1: Penyajian laporan                          -    Amendments to SFAS 1: Presentation of
              keuangan tentang liabilitas jangka panjang                        financial statements related to non-current
              dengan kovenan;                                                   liabilities with covenants;
          -   Amandemen PSAK 73: Liabilitas sewa dalam                     -    Amendments to SFAS 73: Lease liability in a
              jual dan sewa-balik;                                              sale and leaseback;
      Amandemen atas standar yang berlaku efektif                      Amendments to standards which effective for
      untuk periode yang dimulai pada atau setelah                     periods beginning on or after January 1, 2025,
      1 Januari 2025, dengan penerapan dini                            with early adoption is permitted, are as follows:
      diperkenankan yaitu:
      -       PSAK 74: Kontrak asuransi; dan                           -        SFAS 74: Insurance contract; and
              Amandemen PSAK 74: Kontrak asuransi                               Amendments to SFAS 74: Insurance contract
              tentang penerapan awal PSAK 74 dan PSAK                           regarding initial application of SFAS 74 and
              71 – Informasi komparatif                                         SFAS 71 - Comparative information.
      Sampai dengan tanggal otorisasi laporan keuangan                 As of authorization date of these consolidated
      konsolidasian ini, manajemen Grup masih                          financial statements, the Group’s management is
      mengevaluasi dampak potensial dari perubahan                     still evaluating the potential impact on these
      standar akuntansi tersebut terhadap laporan                      amended accounting standards on its consolidated
      keuangan konsolidasiannya.                                       financial statements.
                                                           243
Page 248
                                                                    The original consolidated financial statements included herein are in
                                                                                                                     Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                            PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                            AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                       INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                            FINANCIAL POSITION
Tanggal 30 September 2024                                                                        As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)


50.   INFORMASI KEUANGAN TAMBAHAN                                  50.   SUPPLEMENTARY                                 FINANCIAL
                                                                         INFORMATION

      Informasi keuangan tersendiri Entitas Induk                        The Parent Entity separate financial statements
      menyajikan informasi laporan posisi keuangan,                      stated information of financial position statement,
      laporan laba rugi dan penghasilan komprehensif                     statement of profit or loss and other comprehensive
      lain, laporan perubahan ekuitas dan laporan arus                   income, changes in equity and cash flow, where
      kas, dimana penyertaan saham pada Entitas Anak                     investment in Subsidiaries recognized as cost
      dicatat dengan metode biaya.                                       method.

      Informasi keuangan terlampir Entitas Induk, yang                   The accompanying financial information of the
      terdiri dari laporan posisi keuangan pada tanggal                  Parent Entity, which comprises the statements of
      30 September 2024 dan 31 Desember 2023 , serta                     financial position as at September 30, 2024 and
      laporan laba rugi dan penghasilan komprehensif                     December 31, 2023 , and the statements of profit or
      lain, laporan perubahan ekuitas dan laporan arus                   loss and other comprehensive income, statements
      kas untuk tahun yang berakhir pada tanggal                         of changes in equity and statements of cash flows
      tersebut (secara kolektif disebut sebagai “Informasi               for the years then ended (collectively referred to as
      Keuangan Entitas Induk”), yang disajikan sebagai                   the “Parent Entity Financial Information”), which
      informasi tambahan pada laporan keuangan                           is presented as additional information to the
      konsolidasian terlampir, disajikan untuk tujuan                    accompanying consolidated financial statements, is
      analisis tambahan.                                                 presented for purposes of additional analysis.

      Informasi Keuangan Entitas Induk ini adalah                        The Parent Entity Financial Information is the
      tanggung jawab manajemen dan berasal dari dan                      responsibility of the management and was derived
      berkaitan langsung dengan akuntansi yang                           from and relates directly to the underlying
      mendasarinya dan catatan lain yang digunakan                       accounting and other records used to prepare the
      untuk menyiapkan laporan keuangan konsolidasian                    accompanying consolidated financial statements.
      terlampir.




                                                             244
Page 249
                                                                   The original consolidated financial statements included herein are in
                                                                                                                    Indonesia language.

PT BATAVIA PROSPERINDO INTERNASIONAL Tbk                           PT BATAVIA PROSPERINDO INTERNASIONAL Tbk
DAN ENTITAS ANAKNYA                                                                           AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                      INTERIM CONSOLIDATED STATEMENT
KONSOLIDASIAN INTERIM                                                                           FINANCIAL POSITION
Tanggal 30 September 2024                                                                       As at September 30, 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)


50.   INFORMASI         KEUANGAN          TAMBAHAN                50.   SUPPLEMENTARY                                 FINANCIAL
      (Lanjutan)                                                        INFORMATION (Continued)

      Dasar penyusunan laporan keuangan tersendiri                      Basis of preparation of the separate financial
      Entitas Induk                                                     statements of the Parent Entity

      Laporan keuangan tersendiri Entitas Induk disusun                 The separate financial statements of the Parent
      sesuai dengan PSAK 4, “Laporan Keuangan                           Entity are prepared in accordance with PSAK 4,
      Tersendiri”.                                                      “Separate Financial Statements”.

      PSAK 4 mengatur dalam hal entitas memilih untuk                   PSAK 4 regulates that when an entity elects to
      menyajikan laporan keuangan tersendiri maka                       present the separate financial statements, such
      laporan tersebut hanya dapat disajikan sebagai                    financial statements should be presented as
      informasi tambahan dalam laporan keuangan                         supplementary information to the consolidated
      konsolidasian. Laporan keuangan tersendiri adalah                 financial statements. Separate financial statements
      laporan keuangan yang disajikan oleh entitas induk                are those presented by a parent entity, in which the
      yang mencatat investasi pada entitas anak, entitas                investments are accounted for on the basis of the
      asosiasi, dan pengendalian bersama entitas                        direct equity interest rather than on the basis of the
      berdasarkan kepemilikan ekuitas langsung bukan                    reported results and net assets of the investees.
      berdasarkan pelaporan hasil dan aset neto investee.

      PSAK 4 memperkenankan metode biaya perolehan                      PSAK 4 allows the use of the cost method to record
      sebagai metode pencatatan investasi pada entitas                  the investment in subsidiaries in the separate
      anak dalam laporan keuangan tersendiri. Entitas                   financial   statements.    The    Parent     Entity
      Induk menerapkan metode biaya perolehan dalam                     implemented cost method in the financial
      laporan keuangan entitas induk saja pada tanggal                  statements of the parent entity only as at and for
      dan tahun-tahun yang berakhir 30 September 2024                   the years ended September 30, 2024 and December
      dan 31 Desember 2023.                                             31, 2023.

      Kebijakan akuntansi yang diterapkan dalam                         Accounting policies adopted in the preparation of
      penyusunan laporan keuangan tersendiri Entitas                    the Parent Entity’s separate financial statements
      Induk adalah sama dengan kebijakan akuntansi                      are the same as the accounting policies adopted in
      yang diterapkan dalam penyusunan laporan                          the preparation of the consolidated financial
      keuangan konsolidasian sebagaimana diungkapkan                    statements as disclosed in Note 2 to the
      dalam Catatan 2 atas laporan keuangan                             consolidated financial statements, except for
      konsolidasian, kecuali untuk penyertaan pada                      investments in subsidiaries.
      entitas anak.




                                                            245

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Names mentioned 59 people and organisations named in the text · linked when the evidence is strong

linked person Paulin Angeline p.15 ×2
linked person Rudy Johansen p.15 ×2
linked person Fransisca Sinta Nugraheni. p.17
linked person Jenny Sutio · Sekretaris Perusahaan p.17 ×2
linked org Malacca Trust Pte. Ltd. p.17 ×5
linked org Batavia Prosperindo Trans Tbk p.20 ×14
linked org PT Batavia Prosperity Ecotrans p.25 ×2
possible org PT Batavia Prosperindo p.14 ×23
possible person Dr. Irawan Soerodjo · Notaris p.14 ×13
possible org Negara Republik Indonesia p.14
possible person Gatot Widodo · Notaris p.15 ×7
possible org Bursa Efek Indonesia p.18 ×4
possible org Otoritas Jasa Keuangan p.19 ×2
unresolved org Menteri Kehakiman Republik Indonesia p.14
unresolved org Internasional Tbk. p.14
unresolved org Ministry of Justice p.14
unresolved org Menteri Hukum dan Hak p.14 ×2
unresolved person Dr. Irawan M. p.14
unresolved person Soerodjo p.14
unresolved org Kementerian Hukum dan Hak Asasi p.14
unresolved org Ministry of Manusia Republik Indonesia p.14
unresolved org Financial Services Authority p.17
unresolved org Star Malacca Pte. Ltd. p.17
unresolved org Pte. Ltd. p.17
unresolved org Indonesia Stock Exchange p.18 ×3
unresolved person Christina Dwi Utami · Notaris p.18 ×5
unresolved org PT Batavia p.18 ×4
unresolved org Prosperindo Finance Tbk. p.18
unresolved org Minister p.18
unresolved person Utami p.19
unresolved org Minister of Law Hukum dan Hak Asasi Manusia Republik p.19
unresolved org PT Batavia Prosperindo Aset p.20
unresolved org PT Batavia Prosperindo Sekuritas p.20 ×3
unresolved org PT Batavia Prosperindo Properti p.20 ×5
unresolved org PT Batavia Prosperindo Ecotrans p.20
unresolved org Strait Pristine Resources Pte. Ltd p.20 ×5
unresolved org SPRL Sweet Green Singapore Pte. Ltd p.20
unresolved org PT Batavia Prosperindo Aset Manajemen p.21 ×3
unresolved person Yoke Reinata p.21 ×5
unresolved person Reinata p.21
unresolved person Yuli Rizki Anggorowati · Notaris p.21 ×2
unresolved person Anggorowati p.21
unresolved person Fadil p.21
unresolved person Fadil Kencana p.21
unresolved person Lady Ita Boru Simanihuruk p.22
unresolved person Larosa Boru Simanihuruk p.22
unresolved org Ministry of Law p.22 ×2
unresolved org Menteri Kehakiman Republik p.22 ×2
unresolved person Lidia Maria Sihite · Notaris p.22
unresolved org PT Batavia Makmur p.23
unresolved org PT Batavia Prosperity Ecotrans Perusahaan p.25
unresolved org PT Batavia Prima p.26
unresolved org Sweet Green Singapore Pte Ltd p.29 ×2
unresolved org PT Sweet Green Indonesia p.29
unresolved org PT Sweet Green Indonesia Entitas Induk p.29
unresolved org Prosperindo Internasional Tbk p.30
unresolved org PT Asuransi Maipark Indonesia p.219 ×2

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