Page 298 - AR Asuransi Bintang 2022
P. 298

 PT ASURANSI BINTANG Tbk DAN ENTITAS ANAK
Laporan Arus Kas Konsolidasian
Untuk Tahun-tahun yang Berakhir 31 Desember 2022 dan 2021 (Angka-angka Disajikan dalam Ribuan Rupiah, kecuali Dinyatakan Lain)
PT ASURANSI BINTANG Tbk AND ITS SUBSIDIARY Consolidated Statements of Cash Flows For the Years Ended December 31, 2022 and 2021 (Figures are Presented in Thousands of Rupiah, unless Otherwise Stated)
   ARUS KAS DARI AKTIVITAS OPERASI
Penerimaan dari: Premi
Klaim reasuransi
Lain-lain Pembayaran untuk:
2022
476.284.341 137.039.131 1.545.567
2021
490.875.027 96.838.184 1.510.140
(162.216.185) (270.695.021) (69.972.735) (19.479.312) (74.392.402) (32.419) (684.024)
(8.248.747)
214.408.350 11.451.572 1.513.277
(4.397.894)
(36.234.001) (182.020.465)
4.720.839
(3.483.865) (330.477) (188.650)
(4.002.992) (7.530.900) 26.810.850
(89.064) 19.190.886
CASH FLOWS FROM OPERATING ACTIVITIES
Cash receipts from: Premiums
Reinsurance claims
Others
Cash payments to/for:
Claims
Reinsurance premiums Employees Commissions Operating expenses Final tax
Other expenses
Net Cash Used In Operating Activities
CASH FLOWS FROM INVESTING ACTIVITIES
Proceeds from termination of time deposits Investment income received
Proceeds from sale of property and equipment Acquisitions of property and equipment Proceeds from sale of (placement in) marketable
securities - net Placements in time deposits
Net Cash Provided by Investing Activities
CASH FLOWS FROM FINANCING ACTIVITIES
Dividend paid
Payment of lease liability
Dividend payment through profit certificate
Cash Used in Financing Activities
NET INCREASE (DECREASE) IN CASH ON HAND AND IN BANKS
CASH ON HAND AND IN BANKS
AT THE BEGINNING OF THE YEAR
Effect of foreign exchange rate changes
CASH ON HAND AND IN BANKS AT THE END OF THE YEAR
Klaim (224.439.274)
Premi reasuransi Pegawai
Komisi
Beban usaha Pajak final Beban lain-lain
Kas Bersih Digunakan untuk Aktivitas Operasi
ARUS KAS DARI AKTIVITAS INVESTASI
Pencairan deposito
Penerimaan hasil investasi
Hasil penjualan aset tetap
Pembelian aset tetap
Hasil penjualan (penempatan di) efek surat
berharga - bersih Penempatan deposito
Kas Bersih Diperoleh dari Aktivitas Investasi
ARUS KAS DARI AKTIVITAS PENDANAAN
Pembayaran dividen Pembayaran liabilitas sewa Pembayaran tanda laba
Kas Digunakan untuk Aktivitas Pendanaan
KENAIKAN (PENURUNAN) BERSIH KAS DAN BANK
KAS DAN BANK PADA AWAL TAHUN
Pengaruh perubahan kurs mata uang asing
KAS DAN BANK PADA AKHIR TAHUN
(285.613.825) (65.197.386) (10.497.987) (68.636.721)
(107.976) (1.015.190)
(40.639.320)
36.200.000 11.653.559 3.341.023
(4.327.799)
26.242.853 (22.000.000)
51.109.636
(1.985.803) (265.963) (113.200)
(2.364.966) 8.105.350 19.190.886
(61.660) 27.234.576
                  Lihat catatan atas laporan keuangan konsolidasian yang merupakan bagian yang tidak terpisahkan dari laporan keuangan konsolidasian.
See accompanying notes to consolidated financial statements which are an integral part of the consolidated financial statements.
-5-





















   296   297   298   299   300