Consolidated statement of profit or loss and other comprehensive income

for the year ended September 30, 2025

EUR 000

2024/2025

2023/2024

Revenue

6

809,944

770,915

Other income

7

33,493

33,001

Operating income

843,437

803,916

Costs of outsourced work and other external charges

8

76,666

76,423

Employee benefits expenses

9

444,315

420,267

Depreciation, amortization and net impairment loss

6, 15, 16

38,401

38,480

Impairment loss on trade receivables

18

580

1,401*

Other expenses

10

142,000

139,322*

Operating expenses

701,962

675,893

Operating result

141,475

128,023

Finance income

11

1,076

2,099

Finance expenses

12

-11,295

-9,339

Profit before income tax

131,256

120,783

Income tax expense

13

1,369

2,238

Fees payable to Coöperatie KPMG U.A.

14

129,887

118,545

Profit and total comprehensive income for the year

Profit and total comprehensive income attributable to:

Owners of the Company

Non-controlling interest

  • * Adjusted for comparison purposes.
  • The accompanying notes are an integral part of these consolidated financial statements.