for the year ended September 30, 2025
|
EUR 000 |
2024/2025 |
2023/2024 |
|
|
Revenue |
809,944 |
770,915 |
|
|
Other income |
33,493 |
33,001 |
|
|
Operating income |
843,437 |
803,916 |
|
|
Costs of outsourced work and other external charges |
76,666 |
76,423 |
|
|
Employee benefits expenses |
444,315 |
420,267 |
|
|
Depreciation, amortization and net impairment loss |
38,401 |
38,480 |
|
|
Impairment loss on trade receivables |
580 |
1,401* |
|
|
Other expenses |
142,000 |
139,322* |
|
|
Operating expenses |
701,962 |
675,893 |
|
|
Operating result |
141,475 |
128,023 |
|
|
Finance income |
1,076 |
2,099 |
|
|
Finance expenses |
-11,295 |
-9,339 |
|
|
Profit before income tax |
131,256 |
120,783 |
|
|
Income tax expense |
1,369 |
2,238 |
|
|
Fees payable to Coöperatie KPMG U.A. |
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 |
– |
– |
|
|
– |
– |
The accompanying notes are an integral part of these consolidated financial statements.