CONSOLIDATED INTERIM FINANCIAL STATEMENTS FOR THE THREE MONTHS PERIOD ENDED 31 MARCH, 2022 (UNAUDITED)

Consolidated interim financial statements for the twelve months period ended 31 March, 2022 (unaudited), thousand euros

City Service SE

CONSOLIDATED INTERIM FINANCIAL STATEMENTS

FOR THE THREE MONTHS PERIOD ENDED 31 MARCH, 2022 (UNAUDITED)

Beginning of the reporting period

1 January 2022

End of the reporting period

31 March 2022

Business name

City Service SE

Registration number

12827710

Legal address

Narva mnt. 5, 10117 Tallinn, the Republic of Estonia

Telephone

+370 5 239 49 00

Fax

+370 5 239 48 48

E-mail

info@cityservice.eu

Website

http://www.cityservice.eu

Auditor

Ernst & Young Baltic AS

2

Consolidated interim financial statements for the twelve months period ended

31 March, 2022 (unaudited), thousand euros

CONTENTS

DECLARATION OF THE MANAGEMENT .....................................................................................................................

4

CONSOLIDATED STATEMENT OF FINANCIAL POSITION ............................................................................................

5

CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME ...................................................................................

7

CONSOLIDATED STATEMENT OF CHANGES IN EQUITY .............................................................................................

8

CONSOLIDATED STATEMENT OF CASH FLOWS .........................................................................................................

9

GENERAL INFORMATION .........................................................................................................................................

10

1.1. ACTIVITY ...................................................................................................................................................

10

1.2. SHARE CAPITAL OF THE COMPANY ..........................................................................................................

11

1.3. SHAREHOLDERS OF THE COMPANY .........................................................................................................

11

1.4. CITY SERVICE GROUP ................................................................................................................................

12

1.5. COMPANY'S SUPERVISORY BOARD ..........................................................................................................

16

1.6. COMPANY'S MANAGEMENT BOARD........................................................................................................

17

1.7. ACTIVITY AND SEGMENT INFORMATION .................................................................................................

19

ACCOUNTING POLICIES............................................................................................................................................

21

GOODWILL...............................................................................................................................................................

21

SIGNIFICANT EVENTS ...............................................................................................................................................

23

OTHER INTANGIBLE ASSETS.....................................................................................................................................

25

PROPERTY, PLANT AND EQUIPMENT ......................................................................................................................

26

RIGHT OF USE ASSETS AND LEASE ...........................................................................................................................

27

TRADE RECEIVABLES ................................................................................................................................................

28

BORROWINGS..........................................................................................................................................................

28

COST OF SALES.........................................................................................................................................................

29

GENERAL AND ADMINISTRATIVE EXPENSES............................................................................................................

29

OTHER OPERATING INCOME (EXPENSES)................................................................................................................

30

INTEREST AND OTHER FINANCE INCOME AND (EXPENSES)....................................................................................

30

DIVIDENDS PER SHARE ............................................................................................................................................

30

RELATED PARTY TRANSACTIONS .............................................................................................................................

31

SUBSEQUENT EVENTS..............................................................................................................................................

32

3

Consolidated interim financial statements for the twelve months period ended 31 March, 2022 (unaudited), thousand euros

DECLARATION OF THE MANAGEMENT

4

Consolidated interim financial statements for the twelve months period ended 31 March, 2022 (unaudited), thousand euros

CONSOLIDATED STATEMENT OF FINANCIAL POSITION

Notes

As of 31

As of 31

March 2022

December 2021

Assets

NON-CURRENT ASSETS

Goodwill

3

15,598

10,580

Other intangible assets

5

21,734

21,089

Property, plant and equipment

6

4,363

4,520

Right of use assets

7

5,239

5,825

Non-current receivables

8

5,936

6,056

Deferred income tax asset

2,718

2,464

Total non-current assets

55,588

50,534

CURRENT ASSETS

Inventories

1,433

1,430

Prepayments

3,054

1,716

Trade receivables

8

24,648

28,722

Receivables from related parties

15

636

545

Contract assets

2,045

2,128

Other receivables and current assets

5,360

5,326

Cash and cash equivalents

6,859

6,172

Total current assets

44,035

46,039

Total assets

99,623

96,573

5

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City Service SE published this content on 01 June 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 01 June 2022 08:01:02 UTC.