Financial Reports

Statement of Cash Flows

GROUP BANK
For the year ended December 31, Note 2016 2015 2016 2015
Rs. ’000 Rs. ’000 Rs. ’000 Rs. ’000
Cash Flows from Operating Activities    
Profit before income tax 20,114,584 17,136,111 20,051,183 17,143,610
Adjustments for:    
Non-cash items included in profit before tax 65 2,778,203 5,995,738 2,612,274 5,769,102
Change in operating assets 66 (131,952,287) (96,144,998) (126,779,462) (95,259,038)
Change in operating liabilities 67 117,122,450 85,616,406 111,259,187 84,528,957
(Gains)/losses on sale of property, plant and equipment 17 (10,395) 1,334 (1,705) 6,505
Share of profits in associates, net of tax 38 (6,454) (13,638)
Dividend income from subsidiaries and associates 17 (85,579) (87,830)
Interest expense on subordinated liabilities 13.2 1,535,349 823,267 1,533,934 786,953
Net unrealised gains/(losses) arising from translating the Financial Statements of foreign operations 57.4 438,565 886,677 414,578 888,844
Profit due to change in ownership 17 (3,047) (2,344)
Benefits paid on defined benefit plans (110,800) (95,682) (109,329) (92,505)
Income tax paid 47 (4,014,741) (3,376,261) (3,966,831) (3,271,753)
Super Gain tax paid (2,609,972) (2,576,355)
Net cash from operating activities 5,894,474 8,218,982 4,925,203 7,834,146
Cash Flows from Investing Activities    
Net purchase of property, plant & equipment (1,501,070) (1,086,405) (1,369,729) (986,735)
Proceeds from sale of property, plant & equipment 32,168 20,377 11,958 9,206
Purchase of financial investments (514,043) (4,108,097) (514,043) (4,108,097)
Proceeds from sale and maturity of financial investments 1,628,487 1,502,107 1,628,487 1,502,107
Net purchase of intangible assets (422,175) (208,168) (340,351) (205,811)
Proceeds due to change in ownership 4,294 3,127 4,294 3,127
Net cash flow from investment in subsidiaries and associates (1,184,707) (63,152)
Dividends received from investments in subsidiaries and associates 17 5,808 6,733 85,579 87,830
Net cash (used in) investing activities (766,531) (3,870,326) (1,678,512) (3,761,525)
Cash Flows from Financing Activities    
Net proceeds from issue of ordinary voting shares 135,582 237,304 135,582 237,304
Proceeds from issue of subordinated liabilities 52 13,179,430 13,179,430
Redemption of subordinated liabilities 52 (987,660) (200,000) (972,660)
Interest paid on subordinated liabilities (1,298,062) (809,778) (1,296,647) (770,666)
Dividend paid to non-controlling interest 58 (3,432) (3,270)
Capital contribution from non-controlling interest of a newly incorporated subsidiary 58 805,669
Dividend paid to shareholders of the Bank (4,142,319) (4,087,614) (4,142,319) (4,087,614)
Net cash from/(used in) financing activities 7,689,208 (4,863,358) 6,903,386 (4,620,976)
Net increase/(decrease) in cash and cash equivalents 12,817,151 (514,702) 10,150,077 (548,355)
Cash and cash equivalents as at January 01, 20,107,076 20,621,778 20,043,512 20,591,867
Cash and cash equivalents as at December 31, 27 32,924,227 20,107,076 30,193,589 20,043,512

The Notes appearing on this Annual Report form an integral part of these Financial Statements.