Statement of Cash Flows

Statement of Cash Flows

For the year ended 31 December 2019

  Notes 2019 2018
    AED AED
OPERATING ACTIVITIES      
Net profit for the year   16,166,174 10,643,090
Adjustments for non-cash items:      
Depreciation of property and equipment 4 1,829,476 1,161,219
Write-off of long outstanding payables   973,907
Changes in fair value for investment carried at FVTPL 15 (402,277) 3,905,241
Gain on sale of investments carried at FVTPL   (349,626) (861,732)
Gain on sale of investments carried at FVTOCI   (48,064)  
Interest and dividend income 15 (6,020,922) (5,409,026)
Provision for employees’ end-of-service benefits 12 280,843 549,978
Expected credit losses 16 1,084,985 1,651,296
Impairment of investment properties  

1,038,961

Operating profit before changes in working capital   13,514,496 12,679,027
Changes in working capital      
Premium and insurance balances receivables   (13,200,089) 12,890,745
Reinsurance contract assets   (3,675,417) 3,626,958
Technical provisions   1,451,963 (7,386,896)
Other receivables and prepayments   (5,917,688) (3,460,068)
Insurance and other payables  

(6,025,020)

5,545,152

Net cash flow (used in)/ generated from operating activities   (13,851,755) 23,894,918
Employees’ end-of-service benefits paid 12 (80,766) (7,578)
Directors’ remuneration  

(839,000)

(730,000)

Net cash flow (used in)/ generated from operating activities  

(14,771,521)

23,157,340

       
INVESTING ACTIVITIES      
Payments for purchase of property and equipment 4 (538,727) (1,233,122)
Payments for purchase of investment properties 5 (40,000,000)
Purchase of investments carried at FVTOCI 6 (12,034,256) (39,159,148)
Proceeds from sale of investments carried at FVTOCI 6 18,101,759 2,579,520
Purchase of investments carried at FVTPL 6 (2,094,970) (17,255,368)
Proceeds from sale of investments carried at FVTPL 6 8,444,655 8,622,871
Proceeds from redemption of investments carried at amortised cost   7,786,521
Interest and dividend received  

6,020,922

5,409,026

Net cash generated from/ (used in) investing activities  

17,899,383

(73,249,700)

       
FINANCING ACTIVITIES      
Tier 1 Capital   14,037,496
Dividends paid  

(1,187,805)

Net cash generated from financing activities  

12,849,691

Net change in cash and cash equivalents   15,977,553 (50,092,360)
Cash and cash equivalents, beginning of the year  

58,986,672

109,079,032

Cash and cash equivalents, end of the year 10

74,964,225

58,986,672