Changes in inventories of finished goods and work in progress
-124.50
208.20
592.70
711.24
817.93
899.72
Raw materials and consumables used
-6,810.10
-7,609.40
-11319.80
-13583.76
-15621.32
-17183.46
Employee benefits expense
-1,780.10
-1,810.10
-2169.20
-2603.04
-2993.50
-3292.85
Depreciation and amortisation expense
-534.60
-487.80
-549.50
-659.40
-758.31
-834.14
Impairment expense of non-current assets
-160.70
-
38.60
0.00
0.00
0.00
Inventory spares write-down
-37.00
-
-715.60
-858.72
-987.53
-1086.28
Freight on external despatches
-539.80
-546.70
-833.60
-1000.32
-1150.37
-1265.40
External services
-783.00
-789.50
-72.40
-86.88
-99.91
-109.90
Finance costs
-77.00
-71.90
-3.30
-3.96
-4.55
-5.01
Net restructuring expenses
-3.30
-3.20
-357.60
-429.12
-493.49
-542.84
Other expenses
-288.90
-205.50
-109.00
-125.35
-137.89
Share of net profits of associates and joint venture partnerships accounted for using the equity method
2.80
25.20
30.10
36.12
41.54
45.69
Profit before income tax
256.30
1,685.60
3786.70
4388.72
5047.03
5551.73
Income tax (expense)
-128.00
-388.10
-806.70
-968.04
1110.35
1221.38
Profit from continuing operations
128.30
1,297.50
2980.00
3420.68
6157.37
6773.11
Profit (loss) from discontinued operations after income tax
-4.80
10.00
3.00
3.60
4.14
4.55
Net profit for the year
123.50
1,307.50
2983.00
3424.28
6161.51
6777.67
Items that may be reclassified to profit or loss
Net gain (loss) on cash flow hedges
-20.00
29.70
24.20
29.04
33.40
36.74
- Income tax benefit (expense)
6.20
-9.00
-7.20
-8.64
-9.94
-10.93
Net (loss) on net investments in foreign subsidiaries
-1.70
-40.40
11.70
14.04
16.15
17.76
- Income tax benefit
0.40
12.10
-3.50
-4.20
-4.83
-5.31
Exchange fluctuations on translation of foreign operations attributable to BlueScope Steel Limited
7.20
-206.80
319.70
383.64
441.19
485.30
Items that will not be reclassified to profit or loss
Actuarial gains (losses) on defined benefit superannuation plans
-111.30
208.80
30.90
58.80
43.90
79.60
- Income tax benefit (expense)
31.10
-58.50
-8.80
0.00
0.00
0.00
Investment revaluation
-8.70
12.60
3.60
4.32
4.97
5.46
Exchange fluctuations on translation of foreign operations attributable to non-controlling interests
7.10
-49.60
31.50
37.80
43.47
47.82
Other comprehensive (loss) for the year
-89.70
-101.10
402.10
482.52
554.90
610.39
Total comprehensive income for the year
33.80
1,206.40
3385.10
3906.80
6716.41
7388.05
Statement of Financial Position
Particulars
2020A
2021A
2022A
2023F
2024F
2025F
ASSETS
Current assets
Cash and cash equivalents
1,399.50
1961.9
1682.7
2291.045
2634.70175
2898.171925
Trade and other receivables
1,077.00
1609.2
2134.4
2668
3201.6
3681.84
Contract assets
24.30
31.2
42.2
50.64
58.236
64.0596
Inventories
1,921.60
2318.2
3699
4515.1
5192.365
5711.6015
Operating intangible assets
35.90
45.6
82.7
99.24
114.126
125.5386
Derivative financial instruments
0.10
10.4
51.2
61.44
70.656
77.7216
Deferred charges and prepayments
124.20
162.3
191.6
229.92
264.408
290.8488
4,582.60
6138.8
7883.8
9915.385
11536.09275
12849.78203
Non-current assets classified as held for sale
10.30
-
Total current assets
4,592.90
6138.8
7883.8
9915.385
11536.09275
12849.78203
Non-current assets
Trade and other receivables
52.10
42
38.7
46.44
53.406
58.7466
Inventories
60.20
61.6
68.7
82.44
94.806
104.2866
Operating intangible assets
78.40
106.2
172.9
207.48
238.602
262.4622
Derivative financial instruments
7.60
18.7
40.4
48.48
55.752
61.3272
Investments accounted for using the equity method
89.70
109.3
140.2
168.24
193.476
212.8236
Other investments - fair value through other comprehensive income
15.50
27.9
30.2
36.24
41.676
45.8436
Property, plant and equipment
4,175.30
4521.9
5266.8
6320.16
7268.184
7995.0024
Right-of-use assets
338.00
357.9
374.4
449.28
516.672
568.3392
Intangible assets
1,721.50
1544.1
2453.5
2944.2
3385.83
3724.413
Deferred tax assets
413.20
204.3
122.7
147.24
169.326
186.2586
Deferred charges and prepayments
15.90
16.3
11.5
13.8
15.87
17.457
Retirement benefit Assets
6.7
8.04
9.246
10.1706
Total non-current assets
6,967.40
7010.2
8726.7
10472.04
12042.846
13247.1306
Total assets
11,560.30
13149
16610.5
20387.425
23578.93875
26096.91263
LIABILITIES
Current liabilities
Trade and other payables
1,679.20
2185.8
2677.5
3079.125
3233.08125
3297.742875
Borrowings
121.20
73.7
610.6
732.72
842.628
926.8908
Lease liabilities
97.40
95.3
102.5
123
141.45
155.595
Current tax liabilities
11.70
75.1
152.8
183.36
210.864
231.9504
Provisions
420.90
549
787.7
945.24
1087.026
1195.7286
Contract liabilities
178.70
268.3
333.1
399.72
459.678
505.6458
Deferred income
26.30
30.3
77.5
93
106.95
117.645
Derivative financial instruments
5.60
3.5
1.4
1.68
1.932
2.1252
Total current liabilities
2,541.00
3281
4743.1
5557.845
6083.60925
6433.323675
Non-current liabilities
Trade and other payables
59.20
50
37
44.4
51.06
56.166
Borrowings
662.80
548.8
166.6
99.92
114.908
126.3988
Lease liabilities
439.00
446
435.9
523.08
601.542
661.6962
Deferred tax liabilities
167.60
258.6
533.9
385.7
443.555
487.9105
Provisions
179.00
185
186.1
223.32
256.818
282.4998
Contract liabilities
7.20
6.2
8.3
9.96
11.454
12.5994
Retirement benefit obligations
439.70
196.3
48.5
58.2
66.93
73.623
Deferred income
3.10
3.9
3
3.6
4.14
4.554
Derivative financial instruments
22.10
12.8
0
0
0
0
Total non-current liabilities
1,979.70
1707.6
1419.3
1348.18
1550.407
1705.4477
Total liabilities
4,520.70
4988.6
6162.4
6906.025
7941.92875
8736.121625
Net assets
7,039.60
8160.4
10448.1
13481.4
15637.01
17360.791
EQUITY
Contributed equity
3,634.70
3649.9
2958
2598
2358
2358
Reserves
354.60
156.9
516.9
620.28
713.322
784.6542
Retained profits
2,553.80
3822.8
6307.6
9464.40
11647.16
13207.76
Parent entity interest
6,543.10
7629.6
9782.5
12682.68
14718.482
16350.4102
Non-controlling interests
496.50
530.8
665.6
798.72
918.528
1010.3808
Total equity
7,039.60
8160.4
10448.1
13481.4
15637.01
17360.791
Please prepare Cashflow statement for 2021-2025 from the given data. colud you also clearify me the way how you calculate each iline items in Cash flow for the same
Answer & Explanation
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