Financial Statements-2024 (2)
Financial Statements-2024 (2)
Financial Statements-2024 (2)
AMOUNT IN TAKA
Particulars NOTES
2024 2023
____________ _______________
Director Managing Director
4
SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
AMOUNT IN TAKA
Particulars NOTES
2024 2023
_______ ________________
Director Managing Director
5
SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
Amount in Taka
_______ _______________
Director Managing Director
6
SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
AMOUNT IN TAKA
2024 2023
A. Cash flows from operating activities
_______ _______________
Director Managing Director
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SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
The Financial Statements have been prepared in accordance with the International Financial Reporting
Standards (IFRSs) adopted by The Institute of Chartered Accountants of Bangladesh (ICAB).
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SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
AMOUNT IN TAKA
Allocation of depreciation charged: 2024 2023
Direct expenses 568,852 1,195,166
Administrative expenses 590,409 103,069
1,159,262 1,298,235
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SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
AMOUNT IN TAKA
2024 2023
4.00 Property, Plant & Equipments
Opening Balance 82,720 136,085,701
Add: Addition during the year 4,090,150 -
Closing Balance 4,172,870 136,085,701
Depreciation
Opening Balance 136,002,981 134,704,746
Less: Charged during the year 1,159,262 1,298,235
Closing Balance 134,843,720 136,002,981
6.00 Goods-In-Transit
Bill of
L/C No. L/C Date Entry No.
7,609,923 2,648,902
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SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
AMOUNT IN TAKA
2024 2023
9.1 Cash at Bank
4,894,929 2,260,515
10.00 Share Capital
Authorized Capital:
3,000,000 ordinary shares of Tk. 100 each 300,000,000 300,000,000
Issued, Subscribed and Paid up capital:
1,385,737 Ordinary Shares of Tk 100 each are as follows:
Name of No. of Shares Face
Shareholders' 2024 2023 Value
Mr. B. Frey 1,223,637 1,223,637 100 122,363,700 122,363,700
Tang Yuen Ha ADA 73,682 73,682 100 7,368,200 7,368,200
Tang Lam Wo 73,682 73,682 100 7,368,200 7,368,200
Md. Mukhlesur Rahman 14,736 14,736 100 1,473,600 1,473,600
1,385,737 1,385,737 138,573,700 138,573,700
11.00 Trade and Other Payables
1,132,738 4,869,190
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SHAFIQ MIZAN RAHMAN & AUGUSTINE
CHARTERED ACCOUNTANTS
AMOUNT IN TAKA
2024 2023
15.00 Administrative Expenses
593,549 940,292
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ETASIA (BD) LIMITED
Triel Balance
As at 30 June 2024
AMOUNT IN TAKA
PARTICULARS
Dr. CR.
Salary and Allowances 6,430,581 -
Overtime 8,300 -
Rent - Including VAT 871,572 -
Courier Charges 35,550 -
Telephone Bill 6,909 -
Mobile Bill 54,000 -
Entertainment/ Staff Fooding 15,004 -
Running Car Expenses 225,480 -
Local Conveyance Bill 260,200 -
Utilities - Electricity, Wasa & Gas 147,229 -
Internet Bill 58,860 -
Repair and Maintenance 45,514 -
Stationery Expenses 100,562 -
Motor Car Exp- Gas & Fuel 72,055 -
Legal and Professional Service 92,000 -
Commercial Expenses - -
License and Renewal Fees 176,510 -
Govt. Fees, Rates & Taxes 40,246 -
Audit Fee 80,500 -
Miscellaneous Expenses 4,300 -
Depreciation 1,159,262 -
Cost of Goods sold 38,819,676 -
Income Tax 298,074 -
Selling & Distribution Cost 83,007 -
Bank Charge - For Normal Banking 99,917 -
Bank Charge - For BTB LC 354,787 -
Bank Charge - For Import LC 138,845 -
Sales (Export) - 49,518,189
Other Income 160,750
Property, Plant and Equipment 140,175,851 -
Accumulated Depreciation - 137,162,242
Electricity and Rent Payable - 520,025
Withholding Tax - 15,000
Audit Fees Payable - 63,000
Accrued Expenses - 512,213
Bills Payable : For Imported Raw - -
VAT Payable - 22,500
Provision for Income Tax - 355,946
Cash in Hand 2,714,994 -
Cash at Bank 4,894,929 -
Accounts Receivable 46,710,528 -
Inventories 29,493,855 -
Goods-in-Transit - -
Tax Deducted at Source 496,298
Advances, Deposits and Prepayments 43,322,796 -
Share capital - 138,573,700
Retained earnings - (9,415,376)
317,488,190 317,488,190