|
Pakistan Reinsurance Company Limited | ||||||||||
| Statement of Cash Flow | |||||||||||
| for the year March 31, 2003 (Unaudited) | |||||||||||
| Rupees '000' | Rupees '000' | ||||||||||
| March 31, | March 31, | ||||||||||
| Operating Cash Flows; | |||||||||||
| Underwriting activities:- | |||||||||||
| Primium received | 1,291,626 | 737,652 | |||||||||
| Reinsurance premium paid | (717,830) | (303,662) | |||||||||
| Cliams paid | (306,258) | (258,688) | |||||||||
| Reinsurance and other recoveries received | 187,886 | 56,878 | |||||||||
| Commission paid | (176,732) | (215,185) | |||||||||
| Commission received | 52,701 | 57,806 | |||||||||
| Due from person carrying on insurance business | (136,039) | (265,168) | |||||||||
| Due to person carrying on insurance business | (158,491) | 58,448 | |||||||||
| Deposits received from / paid to ceding companies | (17,125) | 20,921 | |||||||||
| Expenses paid | (22,022) | (20,672) | |||||||||
| Net cash flows from underwriting activities | (2,284) | (131,688) | |||||||||
| Other Operating Activities | |||||||||||
| Income tax paid | - | (42,000) | |||||||||
| General management expenses paid | (2,151) | (797) | |||||||||
| Interest / dividend / rental income receipts | 36,121 | 28,740 | |||||||||
| Loans, advances, deposits and prepaid | (1,375) | - | |||||||||
| Advance, deposits received / adjusted | (105,555) | (1,377) | |||||||||
| Premium reserve net | 106,894 | 27,259 | |||||||||
| Reserve for outstanding claims | - | 22,200 | |||||||||
| Other receipts | - | 4,401 | |||||||||
| Other payments | (37) | (57) | |||||||||
| Net cash flows from other operating activities | 33,897 | 38,369 | |||||||||
| Total cash flow from all operatoing activities | 31,613 | (93,319) | |||||||||
| Investment activities | |||||||||||
| Fixed Capital expenditure | (104) | (24) | |||||||||
| Acquisition of Investments | - | (224,795) | |||||||||
| Sale proceeds of investments | - | - | |||||||||
| Total Cash Flow from investment activities | (104) | (224,819) | |||||||||
| Financing activities | |||||||||||
| Dividend paid | - | - | |||||||||
| Transfer of reserves | - | 271,097 | |||||||||
| Transfer of share capital | - | - | |||||||||
| Issue of share capital | - | - | |||||||||
| Total cash flow from financing activities | 271,097 | ||||||||||
| Net cash flow from all activities | 31,509 | (47,041) | |||||||||
| Cash and cash equivalents at beginning of the year | 130,867 | 75,096 | |||||||||
| Cash and cash equilents at end of the quarter | 162,376 | 28,055 | |||||||||
| (Naheed Hyder) | Maj. ® Mohammad Fazal Durrani | M. Sharif Ijaz Ghauri | Fazalur Rehman Dittu | ||||||||
| Executive Director (F&A) | Chief Executive | Director | Director | ||||||||
| Karachi, June 19, 2003 | |||||||||||