DAAR
DAAR COMMUNICATIONS PLC
Company No. RC 117587
UNAUDITED FINANCIAL STATEMENTS
FOR THE PERIOD ENDED
31ST DECEMBER, 2024
DAAR COMMUNICATIONS PLC
STATEMENT OF FINANCIAL POSITION AS AT 31ST DECEMER, 2024
ASSETSDec, 2024Dec, 2023
NON CURRENT ASSETSN’000N’000
PROPERTY,PLANT & EQUIPMENT24,223,02424,061,928
OTHER INTANGIBLE ASSETS39,47822,802
INVESTMENT – (MTS & AITNEWS24)97,000497,893
DEFERRED TAX ASSETS0969,241
24,359,50225,551,864
CURRENT ASSETS
TRADE RECEIVABLES2,666,6455,005,070
OTHER DEBTORS & PREPAYMENTS3292,609219,424
CASH & CASH EQUIVALENTS4188,617129,662
TOTAL CURRENT ASSETS3,147,8713,444,919
TOTAL ASSETS27,507,37328,996,783
EQUITY AND LIABILITIES
CAPITAL AND RESERVES
SHARE CAPITAL54,000,0004,000,000
SHARE PREMIUM13,411,54113,411,541
REVALAUTION SURPLUS617,939,47917,232,806
RETAINED EARNINGS7-19,580,229-16,825,758
TOTAL EQUITY15,770,79117,818,589
Non-Current Liabilities
Accrued Gratuity8726,160865,375
Total Non-Current Liabilities726,160865,375
CURRENT LIABILITIES
SURBORDINATED LOAN150,662362,029
TRADE PAYABLES1,114,8142,884,999
OTHER PAYABLES99,073,5648,254,398
TAXATION10671,382720,630
TOTAL CURRENT LIABILITIES11,010,42212,222,056
TOTAL EQUITY AND LIABILITIES27,507,37330,906,020
 
Marcel AnyalechiStanley    Sagboje
Ag. CEOED, Finance & Accounts/CFO
FRC/2014//CAN/00000013647FRC/2016/ICAN/00000015580
DAAR COMMUNICATIONS PLC
STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME
FOR THE QUARTER ENDED 31ST DECEMBER, 2024
Twelve mths to Dec 2024Three mths to Dec 2024Twelve mths to Dec. 2023Three mths to Dec. 2023
N’000N’000N’000N’000
Revenue4,991,927         2,103,4644,510,3391,316,946
Cost of Sales-3,827,817         (1,448,495)-2,799,156-545,558
Gross Profit1,164,110            654,9701,711,183771,389
Other Income93,111            (107,563)445,308277,413
1,257,221            547,4072,156,4911,048,802
Selling Expenses-283,071           (166,429)-403,282-305,423
Impairment Allowance-969,241           (284,174)-913,450
Administration Expenses-2,862,971           (982,705)-2,338,415-1,549,867
Finance Charges-12,743               (3,186)-10,370-1,784
PROFIT BEFORE TAXATION-2,870,805-889,087-1,509,027-808,273
TAXATION0                    –  00
PROFIT/(LOSS) FOR THE YEAR-2,870,805-889,087-1,509,027-808,273
EPS in kobo-36                   (11)-19-10
DAAR COMMUNICATIONS PLC
STATEMENT OF CHANGES IN EQUITY FOR THE PERIOD ENDED DECEMBER 31, 2024
SHARE CAPITALSHARE PREMIUMREVALUATION SURPLUSRETAINED INCOMETOTAL
N’000N’000N’000N’000N’000
BAL B/F4,000,00013,411,54117,232,806-16,709,42317,934,924
PROFIT FOR THE PERIOD TO DECEMBER00706,673-2,870,805-2,164,133
BALANCE AS AT DEC. 31, 20244,000,00013,411,54117,939,479-19,580,22915,770,791
DAAR COMMUNICATIONS PLC
STATEMENT OF CHANGES IN EQUITY FOR THE PERIOD ENDED DECEMBER 31, 2023
SHARE CAPITALSHARE PREMIUMREVALUATION SURPLUSRETAINED INCOMETOTAL
N’000N’000N’000N’000N’000
BAL B/F4,000,00013,411,5410-15,198,2352,213,306
PROFIT FOR THE PERIOD TO DECEMBER000-1,509,027-1,509,027
BALANCE AS AT DEC. 31, 20234,000,00013,411,5410-16,707,262704,279
DAAR COMMUNICATIONS PLC
STATEMENT OF CASH FLOWS
FOR THE PERIOD ENDED 31ST, DEC 2024
Dec 31, 2024Dec 31, 2023
Cash flow from operating activities:N’000N’000
Profit/(Loss) before taxation-2,777,695-1,578,275
Add back items not involving movement of funds:
Depreciation1,201,565815,573
Amortisation8191,764
Revalaution surplus706,6730
Write down of deferred Tax assets969,241913,423
Prior year adjustment-0-0
Impairment allowance on receivable
Movements In Trade Receivables
Finance cost12,74310,370
Other income-93,1110
Finance income00
Gratuity-139,21548,338
-118,981211,194
Working capital changes:
(Increase) /Decrease in Trade Receivables2,408,151-2,278,823
(Increase)/Decrease in Other Receivables and prepayments-73,185-13,803
(Increase)/Decrease in Stocks00
Increase/(Decrease) in Trade and other payables-951,0192,681,616
1,383,947388,990
Tax Paid0-14,831
Net cash from operating activities1,264,966585,352
Cash flows from investing activities:
(Purchase)/Sale of fixed assets-1,365,390-294,380
Investment in AITNEWS24 Limited400,893-400,893
(Increase)/Decrease in intangible assets-17,403-90
Net cash used in investing-981,900-695,363
Cash flows from financing activities:
Bank loan received00
Bank loan repaid00
Surbordinated Loan Repaid-211,36786,154
Finance cost-12,743-10,370
Net Cash used in financing activities-224,11075,783
Net(decrease)/increase in cash and cash equivalent58,955-34,228
Cash and cash equivalents at 1 January129,662163,800
Cash and cash equivalents at 31st December188,617129,572
Represented by:
Bank and cash balances188,617129,663
Bank Overdraft00
Cash and cash equivalents at 31st December188,617129,663
DAAR COMMUNICATIONS PLC
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEMBER, 2024
Dec 31, 2024Dec 31, 2023
1REVENUEN’000N’000
Television4,487,9694,134,905
Daar News178,0020
Radio325,956375,434
4,991,92704,510,339
2Profit before taxationDec 31, 2024Dec 31, 2023
This is stated after charging the following:N’000N’000
Directors’ remuneration –
    -Fees29,00029,000
    -Others
Auditors remuneration15,00015,000
Amortisation8191,764
Depreciation1,201,565815,573
3Other receivables and prepaymentsN’000N’000
Staff Loans and Advances4,3107,075
 Prepaid Staff Rent29,45235,040
 Prepaid Expenses9,29610,649
 Cash Advance52,1899,499
 Due from Daar Music Global91,00491,004
 Withholding Tax of Sales106,35966,156
292,609219,424
4CASH & CASH EQUIVALENTSN’000N’000
Cash Balance57,568639
Bank Banlances131,049129,023
188,617129,662
5Share CapitalN’000N’000
Authorised
8,000,000,000 ordinary shares of 50k each
Issued and fully paid4,000,0004,000,000
At 1 January
Issue of shares during the year4,000,0004,000,000
4,000,0004,000,000
6REVALUATION SURPLUSN’000N’000
At 1 january17,232,8060
Current Year Revaluation Surplus706,67317,232,806
At end of period17,939,47917,232,806
7RETAINED EARNINGSN’000N’000
At 1 january-16,825,758-15,198,235
Retained Profit/(Loss)-2,870,8051,627,523
At end of period-19,696,56316,825,758
8Gratuity726,160865,375
726,160865,375
9Other payablesN’000N’000
Accrued salary1,122,6911,335,469
PAYE674,294612,656
Pension fund1,917,1691,809,342
Daar Investment Holding Coy Ltd198,030185,287
NHF61,49671,183
Directors’ loan222,410-0
NHIS354,559391,413
UNION DUES16,48715,209
ITF113,370105,221
NSITF107,407100,725
Audit fee15,00015,000
Directors’ Fees54,28067,884
VAT1,658,1701,385,398
Co-operative Society14,63614,636
Withholding tax135,234115,910
Ex-staff Terminal Benefit1,121,194774,177
NBC Charges488,184480,961
Accrued Expenses348,193331,162
Accrued Staff Rent-1,456647
Prov. For Uninvoiced Commitments452,214442,118
9,073,56408,254,397
10TaxationDec 31, 2024Dec 31, 2023
N’000N’000
At 1st Jan.671,382686,214
Tax Adjustment for Previous Years00
Deferred Tax Asset00
Charged for the period00
Paid during period0-14,831
At end of period671,382671,382
DAAR COMMUNICATIONS PLC
VALUE ADDED STATEMENT
Dec 31, 2024Dec 31, 2023
TURNOVERN’000%N’000%
TURNOVER4,991,9274,510,339
OTHER INCOME93,111445,308
5,085,0384,955,648
BOUGHT IN MATERIALS AND SERVICES
LOCAL-4,946,441-4,037,068
FOREIGN-331,241-258,550
VALUE ADDED-192,644100%660,030100%
 
DISTRIBUTED AS FOLLOWS:
EMPLOYEES:
Salaries, Pension,Welfare1,463,036-759%1,410,507214%
PROVIDER OF CAPITAL
Finance Cost12,743-7%10,3702%
TO GOVERNMENT
Taxation00%00%
PROVIDED for ASSET REPLACEMENT
Depreciation of Property, Plant and
Equipment1,201,565-624%815,573124%
Amortisation/Provisions8190%1,7640%
Retained for the year-2,870,8051490%-1,578,185-239%
TOTAL VALUE ADDED-192,644100%660,030100%
00
DAAR COMMUNICATIONS PLC
FIVE YEAR SUMMARY
Dec 31, 2024Dec 31, 20232,0222,0212,020
Assets EmployedN’000N’000N’000N’000N’000
Property, Plant & Equipment24,223,02424,061,9287,350,3137,898,4118,486,467
Intangible Assets39,47822,89224,56626,79329,027
Investment97,000497,89397,00097,000166,172
Deferred Tax Assets0969,2411,882,6642,796,0873,653,692
Net Current Assets-7,862,551-6,818,652-6,324,201-7,150,269-7,961,959
Non-Current Liabilities – Gratuity-726,160-865,375-817,037-760,922-732,634
Net Assets15,770,79117,867,9272,213,3052,907,1003,640,765
FUNDS EMPLOYED
SHARE CAPITAL4,000,0004,000,0004,000,0004,000,0004,000,000
SHARE PREMIUN13,411,54113,411,54113,411,54113,411,54113,411,541
REVALUATION SURPLUS17,939,47917,232,806000
GENERAL RESERVE-19,580,229-16,776,420-15,198,235-14,504,240-13,770,776
SHAREHOLDERS FUND15,770,79117,867,9272,213,3062,907,3013,640,765
DAAR COMMUNICATIONS PLC
TURNOVER4,991,9274,510,3394,787,2594,806,0113,553,526
PROFIT/(LOSS) BEFORE TAX-2,870,805-1,578,185-755,824-641,942-2,554,036
TAX00-12,242-91,521207,925
PROFIT AFTER TAX-2,870,805-1,578,185-768,066-733,463-2,346,111
EARNINGS PER SHARE-36-20-10-9-29

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