for the year ended 30 September 2022
EUR 000 |
2021/2022 |
2020/2021* |
|
Revenue |
5 |
655,446 |
568,672 |
Other income |
6 |
31,193 |
23,292 |
Total operating income |
686,639 |
591,964 |
|
Costs of outsourced work and other external charges |
7 |
63,938 |
49,277 |
Employee benefits expenses |
8 |
352,829 |
301,397 |
Depreciation and amortization |
5, 14, 15 |
35,582 |
36,162 |
Net impairment loss |
14 |
528 |
– |
(Reversal of) impairment on trade receivables |
17 |
181 |
-365 |
Other expenses |
9 |
106,659 |
85,474 |
Operating expenses |
559,717 |
471,945 |
|
Operating result |
126,922 |
120,019 |
|
Finance income |
10 |
188 |
158 |
Finance expenses |
11 |
-7,629 |
-8,687 |
Profit before income tax |
119,481 |
111,490 |
|
Income tax expense |
12 |
2,066 |
1,275 |
Fees payable to Coöperatie KPMG U.A. |
13 |
117,415 |
110,215 |
Profit and total comprehensive income for the year |
– |
– |
|
Profit and total comprehensive income attributable to: |
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Owners of the Company |
– |
– |
|
Non-controlling interest |
– |
– |
|
* The presentation of the 2020/2021 numbers has been adjusted for comparison purposes, reflecting the inclusion of finance income related to a financial lease contract that was included in Other income in prior year. |
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The accompanying notes are an integral part of these consolidated financial statements. |