Page 154 - Interloop Annual Report 2018-2019
P. 154

NOTES TO THE UNCONSOLIDATED                                                                                                   NOTES TO THE UNCONSOLIDATED


            FINANCIAL STATEMENTS                                                                                                          FINANCIAL STATEMENTS


            FOR THE YEAR ENDED JUNE 30, 2019                                                                                              FOR THE YEAR ENDED JUNE 30, 2019




                                                                         2019                                                                                                                         2018
                                                   Carrying Amount                      Fair Value                                                                               Carrying Amount                      Fair Value
                                        Fair value                                                                                                                    Fair value
                                                           Other
                                                                                                                                                                                         Other
                                         through   Amortized   financial   Total  Level 1  Level 2  Level 3  Total                                                     through   Amortized   financial   Total  Level 1  Level 2  Level 3  Total
                                         profit or   cost  liabilities                                                                                                 profit or   cost  liabilities
                                          loss                                                                                                                          loss
                                                                      Rupees in ‘000                                                                                                                Rupees in ‘000
             On balance sheet financial instruments                                                                                       On balance sheet financial instruments
             Financial assets measured at fair value                                                                                      Financial assets measured at fair value
             Investments in mutual funds   130,896      -        -      130,896    130,896    -      -      130,896                       Investments in mutual funds    147,425      -        -      147,425    147,425    -      -      147,425
             Financial assets not measured at fair                                                                                        Financial assets not measured at fair
             value                                                                                                                        value
             Long term loans                   -      65,762     -      65,762    -        -        -       -                             Long term loans                    -      60,747     -      60,747    -        -        -       -
             Long term deposits                -      28,019     -      28,019    -        -        -       -                             Long term deposits                 -      24,817     -      24,817    -        -        -       -
             Trade debts                       -      8,247,740    -      8,247,740    -      -      -      -
                                                                                                                                          Trade debts                        -      7,293,008    -      7,293,008    -      -      -      -
             Loans and advances                -      66,343     -      66,343    -        -        -       -
                                                                                                                                          Loans and advances                 -      81,163     -      81,163    -        -        -       -
             Other receivables                 -      94,421     -      94,421    -        -        -       -
                                                                                                                                          Other receivables                  -      154,697    -      154,697    -       -        -       -
             Short term investments            -      1,076,355    -      1,076,355    -      -      -      -
                                                                                                                                          Cash and bank balances             -      193,687    -      193,687    -       -        -       -
             Cash and bank balances            -      1,538,564    -      1,538,564    -      -      -      -
                                                                                                                                                                         147,425    7,808,119    -      7,955,544    147,425    -      -      147,425
                                           130,896  11,117,204    -    11,248,100    130,896    -      -      130,896
                                                                                                                                          Financial liabilities measured at fair    -      -      -      -      -        -        -       -
             Financial liabilities measured at fair    -      -      -      -      -       -        -       -                             value
             value
                                                                                                                                          Financial liabilities not measured at
             Financial liabilities not measured at                                                                                        fair value
             fair value
                                                                                                                                          Long term financing                -        -      3,216,476    3,216,476    -      -      -      -
             Long term financing               -        -      4,875,936    4,875,936    -      -      -      -
                                                                                                                                          Liabilities against assets subject to finance    -      -      847    847    -      -      -      -
             Trade and other payables          -        -      3,205,118    3,205,118    -      -      -      -                           lease
             Dividend payable                  -        -      130,935    130,935    -      -       -       -                             Trade and other payables           -        -      2,485,789    2,485,789    -      -      -      -
             Accrued mark up                   -        -      110,483    110,483    -      -       -       -                             Dividend payable                   -        -      475,276    475,276    -      -       -       -
                                                                                                                                          Accrued mark up                    -        -      137,856    137,856    -      -       -       -
             Short term borrowings             -        -                         -        -        -       -
                                                          11,726,000  11,726,000
                                                                                                                                          Short term borrowings              -        -     15,180,937   15,180,937    -      -      -      -
                                               -        -    20,048,472 20,048,472    -      -      -       -
                                                                                                                                                                             -        -    21,497,181 21,497,181    -      -      -       -









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       Interloop Limited                                                                                                                                                                                                                         Annual Report






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