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March 2009 - Indocement Tunggal Prakarsa, PT.

March 2009 - Indocement Tunggal Prakarsa, PT.

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The original consolidated financial statements included herein are inIndonesian language.<strong>PT</strong> INDOCEMENT TUNGGAL PRAKARSA Tbk.DAN ANAK PERUSAHAANLAPORAN ARUS KAS KONSOLIDASITiga Bulan yang Berakhir pada Tanggal-tanggal31 Maret <strong>2009</strong> dan 2008(Disajikan dalam rupiah)<strong>PT</strong> INDOCEMENT TUNGGAL PRAKARSA Tbk.AND SUBSIDIARIESCONSOLIDATED STATEMENTS OF CASH FLOWSThree Months Ended <strong>March</strong> 31, <strong>2009</strong> and 2008(Expressed in rupiah)Catatan/<strong>2009</strong> Notes 2008ARUS KAS DARI AKTIVITASCASH FLOWS FROM OPERATINGOPERASIACTIVITIESPenerimaan dari pelanggan 2.463.099.528.992 2.279.913.813.015 Collections from customersPembayaran untuk pemasok danPayments to suppliers andkontraktor, serta gaji dancontractors, and for salarieskesejahteraan karyawan (1.374.804.454.321) (1.579.579.601.929) and other employee benefitsKas yang diperoleh dari operasi 1.088.295.074.671 700.334.211.086 Cash provided by operationsPenerimaan dari penghasilan bunga 19.925.502.487 6.134.609.304 Receipts of interest incomePenerimaan dari restitusi pajak 8.842.309.507 11 2.998.251.227 Proceeds from claims for tax refundPembayaran pajak (341.159.239.459) (381.637.874.871) Payment of taxesPembayaran beban bunga danPayment of interest expensebeban keuangan lainnya (28.763.152.239) (35.762.842.548) and other financial chargesPenerimaan bersih dari aktivitasNet receipts from other operatingoperasi lainnya 4.478.330.734 5.722.646.989 activitiesKas Bersih Diperoleh dariNet Cash Provided byAktivitas Operasi 751.618.825.701 297.789.001.187 Operating ActivitiesARUS KAS DARI AKTIVITASCASH FLOWS FROM INVESTINGINVESTASIACTIVITIESPenerimaan dividen kas 22.037.088.486 7 - Cash dividends receivedPencairan bersih deposito berjangka 718.451.149 718.451.142 Net withdrawals of time depositsPerolehan aset tetap (31.148.065.920) (53.865.249.447) Purchases of fixed assetsPenerimaan dari penjualan aset tetap - 2.100.000 Proceeds from sale of fixed assetsKas Bersih Digunakan untukNet Cash Used in InvestingAktivitas Investasi (8.392.526.285) (53.144.698.305) ActivitiesARUS KAS DARI AKTIVITASCASH FLOWS FROM FINANCINGPENDANAANACTIVITIESPembayaran hutang jangka panjang (467.900.000.000) - Payment of long-term loansPembayaran hutang sewa gunaPayment of obligations underusaha (17.211.961.946) (11.380.093.028) capital leasePenerimaan dari transaksi penjualanProceeds from sale-and-leasebackdan penyewaan kembali - 10.509.090.900 transactionsPenerimaan bersih untukNet proceeds from derivativetransaksi derivatif - 292.000.000 transactionsPembayaran dividen kas - 17 (5.749.200) Payment of cash dividendsKas Bersih Digunakan untukNet Cash Used in FinancingAktivitas Pendanaan (485.111.961.946) (584.751.328) ActivitiesCatatan atas laporan keuangan konsolidasi terlampir merupakan bagian yangtidak terpisahkan dari laporan keuangan konsolidasi secara keseluruhan.The accompanying notes form an integral part of these consolidatedfinancial statements.6

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