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Securex Pvt.

Limited

Financial statements as at and


for the period ended 30 June 2015
Securex Pvt. Limited

Statement of Financial Position


as at 30 June 2015

30 June 2015 30 June 2014


Notes Taka Taka
Assets

Non current assets


Property, plant and equipment 1 104,902,079 102,044,879
Intangible assets 2 70,000 -
104,972,079 102,044,879
Current assets
Inventories 3 20,303,199 5,336,728
Accounts receivable 4 80,604,201 74,969,582
Other receivables 5 5,141,488 -
Advances, deposits and prepayments 6 12,861,925 12,877,618
Advance Income Tax 7 18,900,389 7,836,808
Short term investment 8 12,925,000 -
Cash and cash equivalents 9 1,470,808 12,485,723
152,207,011 113,506,459
Total assets 257,179,089 215,551,338

Equity and liabilities

Shareholders' equity
Share capital 10 12,500,000 2,500,000
Retained earnings 59,121,421 69,988,355
71,621,421 72,488,355

Non current liabilities


Term loan 11 40,677,179 21,780,145
40,677,179 21,780,145
Current liabilities
Accounts payables 12 10,544,620 12,005,611
Other payables 13 80,568,085 77,190,497
Bank loan and overdraft 14 53,767,784 32,086,729
144,880,489 121,282,838
Total equity and liabilities 257,179,089 215,551,338

The annexed notes 1 to 20 form an integral part of these financial statements


Securex Pvt. Limited

Statement of Comprehensive Income


for the period ended 30 June 2015

2015 2014
Notes Taka Taka

Revenue 15 715,860,743 804,832,228


Cost of sales 16 (583,448,336) (646,672,029)
Gross profit 132,412,407 158,160,199

Other income 17 (457,809) -


Administrative expenses 18 (109,151,055) (125,228,797)
Selling and distribution expenses 19 (1,709,066) (2,177,411)
(111,317,930) (127,406,208)
Profit from operations 21,094,477 30,753,991

Finance income 1,144,592 1,622,678


Finance expense 20 (15,880,507) (5,272,704)
(14,735,914) (3,650,026)

Profit/(loss) before tax 6,358,563 27,103,965


Income tax (2,225,497) (9,486,388)
Net profit for the year 4,133,066 17,617,577

The annexed notes 1 to 20 form an integral part of these financial statements


Securex Pvt. Limited

Statement of Changes in Equity


for the period ended 30 June 2015

Retained
Share capital earnings Total equity
Taka Taka Taka

Balance as at 1 July 2013 500,000 56,870,778 57,370,778

Profit/(loss) for the year 2014 17,617,577 17,617,577


Issue of bonus share to
2,000,000 (2,000,000) -
shareholders
Cash dividend declared (2,500,000) (2,500,000)
Balance as at 30 June 2014 2,500,000 69,988,355 72,488,355

Profit/(loss) for the year (2015) - 4,133,066 4,133,066


Issue of bonus share to
10,000,000 (10,000,000) -
shareholders
Cash dividend declared - (5,000,000) (5,000,000)
Balance as at 30 June 2015 12,500,000 59,121,421 71,621,421
2015
Taka
3 Inventories

Equipment 20,303,199
20,303,199

4 Accounts receivable

Guard Service 56,147,955


Cash Related Service 11,204,922
Technical Service 13,251,324
80,604,201

5 Other receivables

Interest Receivable (FDR) 1,032,633


Earnest Money With Client 4,108,856
5,141,488

6 Advances, deposits and prepayments

Advances 7,516,175
Deposits 5,345,750
12,861,925

7 Advance Income Tax

Beginning Balance 7,836,808


Add-FY 2014-15 13,289,078
Expenses (2,225,497)
18,900,389

8 Short term investment

FDR at Dhaka bank 12,925,000


12,925,000

In 2014, FDR amount was included in cash and cash equivalents.

9 Cash and cash equivalents

Bank Balance 1,350,435


Cash at hand 120,373
1,470,808
2015
Taka
10 Share capital

Authorised:
25,000,000 ordinary shares of Tk. 10 each 250,000,000

The company was initially registered with 2500 ordinary shares of Tk. 1,000.00 each.
These shares were subsequently converted into 25,000,000 shares of Tk. 10 each at
the EGM (held on 22 January 2014).

Issued, subscribed, called up and paid up:

1,250,000 ordinary shares of Tk. 10 each. (2014: 250,000


ordinary shares of Tk. 10 each) 12,500,000

Dividend
The following dividend were declared by the company for the year.

Issue of Bonus shares 10,000,000


Cash dividend 5,000,000
15,000,000

11 Term loan

IDLC takeover 8,961,199


Lanka Bangla Finance limited 8,547,768
Lesae payable 23,168,212
40,677,179

14 Bank loan and overdraft

Dhaka Bank SOD 24,554,830


Short term loan 29,212,955
53,767,784
2015
15 Revenue Taka

Guard Service 569,994,870


Cash Related Service 159,978,077
Technical Service 50,899,375
(-) VAT (65,011,579)
715,860,743

16 Cost of sales

(a) Equipment consumption :

Opening balance 5,336,728


(+) Purchase 50,845,021
(-) Closing balance (20,303,199)
Consumpton 35,878,550
Fuel expense 23,036,727
58,915,277
(b) Overhead:
Food Subsidy 487,221
Bonus 40,220,644
Burial Expenses 45,000
Mess Bill for UT Guard 1,008,976
Direct Salaries & Wages 482,771,218
524,533,059
583,448,336

17 Other Income, net

Gain/(Loss) on sale of fixed asset 457,809


457,809

18 Administrative expenses

Audit fees 15,000


Equipment and furniture rent 790,500
Salaries and allowances 30,561,893
Directors remuneration 57,000
Utility bill 2,537,130
Telephone, internet and other bill 3,643,138
Stationery and printing 3,109,794
Repair and maintenance 10,166,255
Insurance 7,347,557
Licence and registration fees 992,852
Office & garage rentals 11,107,876
Postage and courier 476,143
Professional and Legal fees 2,533,790
Software and hardware maintenance 48,595
Travelling and conveyance allowance 7,028,830
Doubtful debts expense 2,771,639
Depreciation and Amortization 22,534,081
Office expenses 1,222,351
Medical expense 787,399
Tender expense 129,322
Compensation 266,558
Entertainment expense 1,023,354
109,151,055
2015
Taka

19 Selling and distribution expenses

Advertisement 1,083,156
Trade promotion expenses 512,220
Sales commission and others 113,690
1,709,066

20 Finance expense

Bank charge 802,233


Interest on Lease 1,711,454
Interest on Loan 9,838,190
Interest on factoring loan 3,528,629
15,880,507
12. Schedule of Accounts payable

Particulars TK
A. Hossain International 21,000
Airtel-AP 95,158
Al-Amin Auto Electric 8,200
American Golf Club Ltd 200,000
A.R.Automobiles 79,400
Avinas Car Decoration 9,750
Bangladesh Export Import Co. Ltd. 43,700
BGIC 579,699
Brothers Motors 69,390
Brothers Technology(IBBL) 56,002
Butterfly Marketing Ltd. 10,000
Champion Electronics 775
Chinton Architects 130,000
Chowdhury Auto Electric & AC Servicing Centre 31,590
Delta Life Insurance Company Ltd 4,731
Digicom International 287,600
ECM Auto Centre Limited 11,396
Elahi Electric 143,154
Expert Automobile Ltd. 2,650
Gardenia 5,000
Gazipur Police Store 3,012,858
Grameen Phone-AP 110,727
Gulshan Club A/C 11,517
H & H International 36,469
Holiday 5,000
International Office Equipment 22,250
Intraco CNG 420,000
Karubid Constructions Ltd 2,010
KS International 19,400
Make 30,510
Mayer Doa Enterprise ( Army Store ) 389,376
Md. Firoz Ahmed-Butterfly 16,090
Metlife Alico AP 551,952
M/S Bangladesh Refrigeration 30,000
MS Rishad Enterprise 24,370
Nazia Books & Stationery A/C 37,078
New Imam Engineering Works 48,200
Nissan Autos 60,930
Noor Ahmed Gelal 15,000
Optimax Communication Ltd. 3,000
Panaroma Computer 336,550
Pioneer Insurance Company Ltd 388,943
Platino Printers 91,500
Pran Kanai Roy Chowdhury 91,060
Rahimafrooz Distribution Ltd 205,858
Reaz Automobiles 164,300
Rupa Enterprise-AP 867,000
Securitech A/C 158,712
Smart Technologies BD Ltd. 85,000
System Palace 311,500
Total Security Solution ( TSS) 203,000
Toyota Engineering Network 13,230
Travel House AP 49,100
Universal Trading A/C 39,485
VERBAL 688,950
Xbec Trading Services 214,500
Total 10,544,620
13. Schedule of Others payable

Particulars Amount
Post Job Benifits Payable 565,591
Bank Charge-Term Loan 87,400
Bonus Payable 7,925,619
Electricity Bill Payable 151,850
Garage Rent Payable 8,000
Gas Bill Payable 4,950
Internet Bill Payable 1,150
Misc Liability 38,903
Mr. Fedae Dastgir 800,000
Mrs. Dilara Quddus 2,338,000
Mrs. Nurjahan Begum-Rent UT Mess 30,000
Office Rent Payable 46,500
Runi Khan -Rent Gulshan 50,000
Salary Payable 37,960,352
Sinking Fund 2,717,900
TDS Payable 1,819,838
Telephone Bill Payable 30,564
VAT Payable 8,322,580
Vat Payable(Vendor) 227,446
Wasa Bill Payable 47,381
Security Money From Client 4,332,562
Insurance Claim A/C 80,000
Provident Fund A/C 4,630,178
Security Money- R. Guard 1,871,282
Welfare Fund 1,468,822
United Commercial Bank Ltd Banasree 4,000
Md. Masud Rana 9
Md. Mosharraf Hossain 400
Tanmay Bhattacharjee 6,808
Dividend payable 5,000,000
Total 80,568,085
6. Schedule of Advance, deposits and prepayments

Particulars Taka Total


Abdul Baten 20,500
Abdul Hannan 44,000
Abrar Haque 500
Anwar Hossain Miazi 40,156
Arsalan Quddus 11,880
Asaduzzaman 15,000
Atikur Rahman 1,000
Bulbul 1,000
Dewan Anwar Rashid 500
Gulzar Rahman 39,044
Lutfor 3,000
Mahiuddin 8,219
Md. Maruf Hossain 54,240
Md. Monirul Huq 100,000
Md. Mosabber Hossain 9,999
Md. Shamsuzzaman 33,056
Moyazzem Hossain 9,000
Mr. Mahbubur Rahman 30,000
Mr. Mainul Hasan 40,000
Mr. Rafiqul Huq 16,760
Mrs. Dilara Quddus 3,222,202
Nazrul Islam Farhad 238,135
Nur Mohammad 8,340
Rima Khatun 500
Robiul Islam 1,000
Rubel 1,000
Sadia Zaman 500
Saduruzzman 8,131
Shafiqul Islam 1,000
Shafiqur Rahman 200,925
Shahadat Hossain 11,357
Shahin 14,000
Yousuf Imran 2,460
Farhan Quddus 710,000
Hannan A/C 5,000
Mr. Anowar (Sr.Executive) 25,000
Mr. Saiful Alam -Tech 300,000
Securitech 10,000
Nazmul Islam-TL 40,000
Advance on House Rent 1,507,666
Lease Advance 705,105
Motor World Imports-Advance 26,000
7,516,175
Active Development 1,000,000
Banani DOHS Jame Masjid 150,000
Begum Ayesha Shopping Complex 100,000
Dewan Mamunur Rashid 33,800
Md. Anowar Hossain 9,000
Md. Narul Islam 44,000
Md. Rahmat Ullah 150,000
Md. Tajul Islam 12,000
Mohammad Mohsiul Islam 800,000
Security Deposit with Clients 1,561,950
Mr. Ahsanul Alam 1,080,000
Mrs. Nurjahan Begum 75,000
Pioneer Insuance Ltd 300,000
Telephone Installation 30,000
5,345,750
Particulars Taka Total
Total 12,861,925
1 Property, plant and equipment

Year 2015
Cost Depreciation
As at 1 July Addition during Disposal/adjustment As at 30 June As at 1 July Charged during Disposal/adjustment As at 30 June Written down value
Category
2014 the year during the year 2015 2014 the year during the year 2015 as at 30 June 2015
Car and vehicle 119,127,173 3,614,400 (13,086,370) 109,655,203 54,748,892 12,367,768 (6,123,713) 60,992,947 48,662,256
Motor Cycle 783,153 199,500 - 982,653 397,923 83,869 - 481,792 500,861
Furniture and fixture 2,610,415 1,711,960 - 4,322,375 439,110 296,636 - 735,746 3,586,629
Leased Vehicle - 22,365,793 - 22,365,793 - 3,970,190 - 3,970,190 18,395,603
Leased Equipments - 1,900,516 - 1,900,516 - 39,594 - 39,594 1,860,922
Office equipments 4,348,592 1,865,570 (7,959) 6,206,203 652,668 510,394 (2,056) 1,161,006 5,045,196
Computer and Equipments 2,745,828 672,100 - 3,417,928 871,051 965,118 - 1,836,169 1,581,759
Sundry assets 42,705,101 - - 42,705,101 13,165,738 4,270,510 - 17,436,248 25,268,853
Total 172,320,262 32,329,839 (13,094,329) 191,555,772 70,275,382 22,504,081 (6,125,769) 86,653,694 104,902,079

2 Intangible assets, net

Year 2015

Cost Amortization
Name of assets As at Addition Disposal/adjustment As at As at Charged Disposal/adjustment As at Carrying amount
1 July 2014 during the year during the year 30 June 2015 1 July 2014 during the year during the year 30 June 2015 as at 30 June 2015

Software (Tally) 100,000 - 100,000 - 30,000 - 30,000 70,000

- 100,000 - 100,000 - 30,000 - 30,000 70,000


1 Property, plant and equipment

Year 2015
Cost Depreciation
As at 1 July Addition during Disposal/adjustment As at 30 June As at 1 July Charged during Disposal/adjustment As at 30 June Written down value
Category
2014 the year during the year 2015 2014 the year during the year 2015 as at 30 June 2015
Car and vehicle 119,127,173 3,614,400 (15,907,370) 106,834,203 54,748,892 12,367,768 (6,123,713) 60,992,947 45,841,256
Motor Cycle 783,153 199,500 - 982,653 397,923 83,869 - 481,792 500,861
Furniture and fixture 2,610,415 1,711,960 - 4,322,375 439,110 296,636 - 735,746 3,586,629
Leased Vehicle - 25,186,793 - 25,186,793 - 3,970,190 - 3,970,190 21,216,603
Leased Equipments - 1,900,516 - 1,900,516 - 39,594 - 39,594 1,860,922
Office equipments 4,348,592 1,865,570 (7,959) 6,206,203 652,668 510,394 (2,056) 1,161,006 5,045,196
Computer and Equipments 2,745,828 672,100 - 3,417,928 871,051 965,118 - 1,836,169 1,581,759
Sundry assets 42,705,101 - - 42,705,101 13,165,738 4,270,510 - 17,436,248 25,268,853
Total 172,320,262 35,150,839 (15,915,329) 191,555,772 70,275,382 22,504,081 (6,125,769) 86,653,694 104,902,079

2 Intangible assets, net

Year 2015

Cost Amortization
Name of assets As at Addition Disposal/adjustment As at As at Charged Disposal/adjustment As at Carrying amount
1 July 2014 during the year during the year 30 June 2015 1 July 2014 during the year during the year 30 June 2015 as at 30 June 2015

Software (Tally) 100,000 - 100,000 - 30,000 - 30,000 70,000

- 100,000 - 100,000 - 30,000 - 30,000 70,000

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