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     SECOND QUARTER INFORMATION
  CASH FLOW STATEMENT

For the period ended  Bank  Group
30.9.2009 30.9.2008 30.9.2009 30.9.2008
Rs.000 Rs.000 Rs.000 Rs.000
Cash flow from operating activities  
Interest Receipts 3,531,915 3,789,519 5,016,249 5,069,074
Interest payments (2,343,480) (2,672,475) (3,793,290) (3,477,133)
Recoveries on loans previously written off 34,775 43,679 34,775 43,679
Receipts from other operating activities 86,692 108,016 198,076 400,069
Cash payments to employees & suppliers (583,223) (697,383) (937,214) (1,088,571)
Value added tax (300,107) (305,856) (364,078) (328,635)
Operating profit before changes in operating assets 426,572 265,500 154,518 618,483
(Increase )/decrease in operating assets:  
Deposits held for regulatory or monetary control purposes 0 0 77,768 (64,929)
Funds advanced to customers 3,565,462 696,217 5,475,729 (431,995)
Others 33,442 502,108 365,383 536,104
Increase /(decrease ) in operating liabilities:  
Security deposits from customers 0 0 230 3,320
Deposits from customers 670,239 1,797,587 1,440,958 3,906,029
Negotiable certificates of deposit (2,680) 0 (30,384) 50,323
Net cash flow from operating activities before Income tax 4,693,035 3,261,412 7,484,202 4,617,335
Income tax paid (138,797) (373,762) (329,032) (460,881)
Net cash from/(used in) operating activities  4,554,238 2,887,650 7,155,170 4,156,454
   
Cash flow from investing activities  
Dividends received 400,855 415,226 396,967 431,615
Interest received 510,738 484,487 1,094,739 488,329
Treasury bills eligible for rediscounting with Central Bank (1,041,423) 88,912 (7,878,988) (1,039,724)
Proceeds from sale and redemption of securities 399,027 358,087 435,143 388,087
Purchase of securities (208,173) (635,720) (259,173) (679,087)
Investment in Joint Venture - (Acuity Partners Ltd.) 0 (150,000) 0 (150,000)
Investment in additional shares of subsidiaries - (DFCC Vardhana Bank. Limited) 0 (23) 0 (23)
Purchase of property , equipment ,intangibles and investment property (1,983) (20,021) (77,638) (117,072)
Proceeds from sale of equipment and investment property 1,679 12 2,499 16
Net cash from investing activities 60,720 540,960 (6,286,451) (677,859)
   
Cash Flow from financing activities  
Issue of new shares under option 179,309 29,042 179,309 29,042
Issue of new shares by subsidiary (Rights issue) 0 0 0 36,041
Borrowing , medium and long - term 1,354,401 4,712,007 2,376,066 4,712,007
Other Borrowings (1,692,180) (1,534,093) (532,649) (1,250,007)
Repayment of borrowing ,medium and long - term (3,510,565) (4,583,085) (3,510,565) (4,583,085)
Dividends paid (657,955) (650,923) (654,048) (745,899)
Net Cash flow from financing activities (4,326,990) (2,027,052) (2,141,887) (1,801,901)
         
Net increase/(decrease) in cash & cash equivalents 287,968 1,401,558 (1,273,168) 1,676,694
Cash & cash equivalents/(overdraft-net) at the beginning of period 2,509,971 1,690,313 6,162,307 3,875,461
Cash & cash equivalents at the end of period  2,797,939 3,091,871 4,889,139 5,552,155
   
Reconciliation of cash & cash equivalents   
Cash & short - term funds 2,797,939 3,098,276 3,471,343 4,680,127
Placements with & loans to banks & financial institutions 0 0 76,005 1,728
Treasury bills other securities eligible   
 for rediscounting with Central Bank  0 0 1,381,250 897,730
Borrowing short term - Bank overdrafts 0 (6,405) (39,459) (27,430)
  2,797,939 3,091,871 4,889,139 5,552,155
 
The Cash Flow Statement of the bank includes the results of associate ,joint venture and subsidiary companies only to the extent of the cash flows between
Bank and respective companies as required by Sri Lanka Accounting Standards .


Comparative figures have been re-stated to conform to the period ended 30 September 2009 classification.
 
FOR A PRINT FRIENDLY VERSION

 
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