Financial Statements
SBS TRANSIT LTD
Company Registration No.: 199206653M
Half-Year 2020 Financial Statements and Dividend Announcement
The Board of Directors announces the unaudited results for the Half-Year ended 30 June 2020.
1 GROUP INCOME STATEMENT
(i) Group
1st Half 1st Half Incr/
2020 2019 (Decr)
$'000 $'000 %
Revenue 6 03,225 7 09,207 ( 14.9)
Staff costs 2 95,894 3 55,481 ( 16.8)
Repairs and maintenance costs 1 01,734 8 9,676 1 3.4
Fuel and electricity costs 4 7,609 8 9,106 ( 46.6)
Premises costs 2 0,570 2 4,042 ( 14.4)
Depreciation expense 5 2,030 5 1,483 1 .1
Other operating costs 5 3,176 4 2,583 2 4.9
Total operating costs 5 71,013 6 52,371 ( 12.5)
Operating profit 3 2,212 5 6,836 ( 43.3)
Net income from investments 1 31 1 02 2 8.4
Finance costs ( 1,825) ( 2,172) ( 16.0)
Profit before taxation 3 0,518 5 4,766 ( 44.3)
Tax credit (expense) 2 ,064 ( 9,915) NM
Profit attributable to shareholders 3 2,582 4 4,851 ( 27.4)
Operating (Loss) Profit before COVID-19 Government reliefs (29,365) 56,836 NM
COVID-19 Government reliefs 61,577 - NM
Operating Profit after COVID-19 Government reliefs 32,212 56,836 (43.3)
Please refer to paragraph 14 for a detailed explanation of the Group's financial performance.
(ii) Included in the determination of net profit are the following items :
Group
1st Half 1st Half Incr/
2020 2019 (Decr)
$'000 $'000 %
After debiting :-
Provision for stock obsolescence 6 ,790 - NM
Provision for doubtful debts 4 23 - NM
NM – Not meaningful
Certain comparative figures have been reclassified to conform to current period's presentation.
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2 STATEMENTS OF FINANCIAL POSITION
Group Company
30 Jun 31 Dec 30 Jun 31 Dec
2020 2019 2020 2019
$'000 $'000 $'000 $'000
ASSETS
Current assets
Short-term deposits and bank balances 9 4,547 3 1,463 8 9,237 3 0,280
Trade receivables 1 27,594 1 67,433 1 26,105 1 64,063
Other receivables and prepayments 9 0,768 6 7,748 3 71,165 3 17,693
Inventories 1 26,135 1 30,571 9 8,167 1 04,126
Total current assets 4 39,044 3 97,215 6 84,674 6 16,162
Non-current assets
Subsidiary - - 5 ,000 5 ,000
Prepayments 6 ,008 3 ,385 5 ,821 3 ,327
Net Investment on sub-lease - non-current 2 71 - 2 71 -
Vehicles, premises and equipment 6 03,259 6 44,165 5 84,944 6 25,013
Right-of-use assets 6 4,812 7 0,980 6 4,812 7 0,980
Deferred tax assets 2 7,610 2 1,540 - -
Total non-current assets 7 01,960 7 40,070 6 60,848 7 04,320
Total assets 1 ,141,004