Consolidated statement of profit or loss and other comprehensive income

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:

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.

The accompanying notes are an integral part of these consolidated financial statements.