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									                                                                      CENTRAL FINANCE COMPANY PLC
                                                                               CASH FLOW STATEMENT

                                                                           Group                              Company
For the six months ended 30th September                               2010            2009               2010             2009
                                                                    Rs.'000         Rs.'000            Rs.'000          Rs.'000
                                                                  Unaudited       Unaudited          Unaudited        Unaudited
                                                                                 (Restated)
Cash flows from operating activities
Interest receipts                                                 2,827,301          2,644,336       2,855,230       2,668,751
Interest payments                                                (1,247,744)        (1,400,784)     (1,253,145)     (1,353,961)
Recoveries on loans previously written off                           29,680             28,017          29,680          28,017
Receipts from other operating activities                          2,183,684          2,032,545         243,461         230,575
Cash payments to employees and suppliers                         (2,220,864)        (2,368,646)       (782,672)       (723,699)
Operating profit before changes in operating assets               1,572,057            935,468       1,092,554         849,683
(Increase)/decrease in operating assets:
Investments in Government securities and bank deposits
  maturing after 90 days                                             93,714         (1,215,292)         93,714      (1,215,292)
Funds advanced to customers                                      (9,163,887)        (5,316,808)     (9,163,887)     (5,559,808)
Capital component of recoveries from customers                    7,061,272          5,958,647       7,076,438       6,019,725
Others                                                              355,957            145,426         305,848         132,938
Increase/(decrease) in operating liabilities:
Deposits                                                            713,205          3,001,320         718,760       3,001,320
Net cash from operating activities before income tax                632,318          3,508,761         123,427       3,228,566
Income tax paid                                                    (436,138)          (396,652)       (350,831)       (352,178)
Net cash inflow from operating activities                           196,180          3,112,109        (227,404)      2,876,388

Cash flows from investing activities
Dividends received from subsidiaries and associates                  31,640             23,730          74,537          53,307
Dividends received from other companies                                 230              8,013             228           3,374
Purchase of securities                                             (148,836)          (269,000)       (148,836)       (269,000)
Purchase of property, plant and equipment                          (294,850)          (122,606)       (280,485)       (111,557)
Proceeds on disposal of property, plant and equipment               218,738             69,237         218,388          69,037
Net cash inflow from investing activities                          (193,078)          (290,626)       (136,168)       (254,839)

Cash flows from financing activities
Borrowings                                                           21,578            547,553          21,578         498,553
Repayment of borrowings                                            (417,191)        (3,573,062)       (237,283)     (3,292,693)
Dividends paid to equity holders of the parent                      (94,243)           (73,891)        (94,243)        (73,891)
Dividends paid to minority shareholders                             (44,509)           (31,874)              -               -
Net cash outflow from financing activities                         (534,365)        (3,131,274)       (309,948)     (2,868,031)

Net decrease in cash and cash equivalents                          (531,263)          (309,791)       (673,520)       (246,482)
Cash and cash equivalents at the beginning of the period          1,982,106          1,597,575       2,031,512       1,472,456
Cash and cash equivalents at the end of the period                1,450,843          1,287,784       1,357,992       1,225,974

Analysis of cash and cash equivalents
Cash in hand and at banks                                           399,040            331,915         299,706         254,551
Investments in Government securities-maturing within 90 days      1,617,600            210,000       1,617,600         210,000
Deposits with banks-maturing within 90 days                          90,000          1,250,508          90,000       1,250,508
Bank overdrafts                                                    (655,797)          (504,639)       (649,314)       (489,085)
Cash and cash equivalents at the end of the period                1,450,843          1,287,784       1,357,992       1,225,974

The interim financial statements for the six months ended 30th September are provisional and subject to audit.
The annexed notes form an integral part of these interim financial statements.
                                   CENTRAL FINANCE COMPANY PLC

                                   INCOME STATEMENT

                                                               Group                                          Company
FOR THE SIX MONTHS ENDED 30TH
SEPTEMBER                                          2010                   2009     Variance       2010                  2009      Variance
                                                 Rs.'000               Rs.'000       %          Rs.'000              Rs.'000        %
                                               Unaudited           Unaudited                  Unaudited          Unaudited
                                                                   (Restated)                                    (Restated)
Income                                          3,972,844          3,753,664          5.84     3,707,047         3,460,144           7.14
                                               ========           ========                    ========          ========
Interest income                                 3,044,748          2,796,660          8.87     3,071,064         2,819,721           8.91
Interest expenses                              (1,205,150)        (1,590,683)       (24.24)   (1,213,927)       (1,603,699)        (24.30)
                                                -------------      -------------               -------------     -------------
Net interest income                             1,839,598          1,205,977         52.54     1,857,137         1,216,022          52.72
Operating income                                  736,324            797,021         (7.62)      398,263           453,183         (12.12)
Other income                                      191,772            159,983         19.87       237,720           187,240          26.96
                                                -------------      -------------               -------------     -------------
                                                2,767,694          2,162,981         27.96     2,493,120         1,856,445          34.30
                                                -------------      -------------               -------------     -------------
Less: Operating expenses
Personnel costs                                   474,249              402,223       17.91       364,071           308,571          17.99
Premises, equipment and establishment
expenses                                         609,894             564,648          8.01      563,889             511,030         10.34
Employee retirement benefit expenses               62,671              31,305       100.19        58,697              28,442       106.37
Other expenses                                   173,560             212,609        (18.37)     125,856             114,475          9.94
                                               -------------       -------------              -------------       -------------
                                               1,320,374           1,210,785          9.05    1,112,513             962,518         15.58
                                               -------------       -------------              -------------       -------------

Profit before loan losses and provisions       1,447,320             952,196         52.00    1,380,607             893,927         54.44
Less: Loan losses and provisions                 150,440             178,688        (15.81)     149,912             177,209        (15.40)
                                               -------------       -------------              -------------       -------------
Operating profit before VAT on financial
services and income tax                        1,296,880             773,508         67.66    1,230,695             716,718         71.71
Share of profit of associates(net of tax)        154,087               99,279        55.21             -                   -
                                               -------------       -------------              -------------       -------------
Profit before VAT on financial services and
income tax                                     1,450,967               872,787       66.25    1,230,695            716,718          71.71

VAT on financial services                        (141,667)            (81,869)       73.04      (141,667)            (81,869)       73.04
                                                -------------      -------------               -------------      -------------
Profit before income tax                       1,309,300             790,918         65.54    1,089,028             634,849         71.54
Income tax expense                               (547,512)          (314,068)        74.33      (473,668)          (243,280)        94.70
                                                -------------      -------------               -------------      -------------
Profit after income tax                           761,788            476,850         59.75       615,360            391,569         57.15
                                               ========           ========                    ========           ========
Attributable to equity holders of the parent      725,408            432,379         67.77       615,360            391,569         57.15
Attributable to minority interest                   36,380             44,471       (18.19)             -                  -
                                               ========           ========                    ========           ========
Net profit for the period                         761,788            476,850         59.75       615,360            391,569         57.15
                                               ========           ========                    ========           ========
Basic/diluted earnings per share - Rs.               35.73              21.30                       30.31              19.29
                                               ========           ========                    ========           ========

The interim financial statements for the six months ended 30th September are provisional and subject to audit.
Figures in brackets indicate deductions.
The annexed notes form an integral part of these interim financial statements.
                                                                           CENTRAL FINANCE COMPANY PLC
                                                                           BALANCE SHEET

                                                                                        Group                                             Company
                                                               As at              As at            As at           As at              As at              As at
                                                          30/09/2010        31/03/2010       30/09/2009       30/09/2010        31/03/2010         30/09/2009
                                                             Rs.'000           Rs.'000          Rs.'000          Rs.'000           Rs.'000            Rs.'000
                                                          Unaudited            Audited        Unaudited       Unaudited            Audited          Unaudited
                                                                                              (Restated)                                            (Restated)
ASSETS
Cash in hand and at banks                                    399,040           309,866          331,915          299,706          275,283             254,551
Investments in Government securities                       2,875,006         2,787,000        1,000,000        2,875,006        2,787,000           1,000,000
Deposits with banks                                            95,000          630,500        2,052,308            95,000         630,500           2,052,308
Dealing securities                                              4,100             2,200           17,730            4,100            2,200              17,730
Investment securities                                        270,012           121,176          110,268          260,400          111,564             102,628
Net investment in leases                                  12,288,611        11,334,823       11,021,500       12,288,611       11,334,823          11,021,500
Corporate debt securities                                    334,736           402,813                 -         334,736          402,813                    -
Loans and advances                                        11,799,528        10,398,580        9,494,453       12,698,802       11,312,264          10,257,679
Trade and other receivables                                1,486,068         1,249,818        1,374,442        1,092,074          856,237             986,583
Taxation                                                        2,459                 -           69,133                -                -              69,133
Investments in real estate                                   803,977           988,430        1,180,502          213,707          211,255             225,421
Vehicles, spare parts and other stocks                       472,946           769,944          955,411          481,076          781,784             970,111
Inventories                                                  214,457           202,120          151,023                 -                -                   -
Investments in associates                                  1,703,657         1,584,724        1,297,748          482,054          482,054             372,100
Investments in subsidiaries                                         -                 -                -         296,204          296,204             304,484
Other assets                                                    9,598            10,937           12,276            9,598           10,937              12,276
Deferred tax asset                                              1,732             2,309            2,851                -                -                   -
Intangible assets                                              49,275            48,992           19,877           48,765           48,504              19,361
Property, plant and equipment                              4,498,873         4,633,049        4,857,083        3,655,535        3,791,179           4,014,185
                                                           -------------     -------------    -------------    -------------    -------------       -------------
Total assets                                              37,309,075        35,477,281       33,948,520       35,135,374       33,334,601          31,680,050
                                                          ========          ========         ========         ========         ========            ========
LIABILITIES
Bank overdrafts                                              655,797           357,760          504,639          649,314          273,771             489,085
Deposits                                                  17,720,199        17,233,458       16,044,047       17,837,002       17,397,134          16,198,531
Bank loans                                                   229,833           445,908          749,875          145,833          187,500             379,467
Non bank loans                                               776,413           952,987        1,192,740          761,413          932,487           1,172,240
Tax payable                                                  492,545           279,063            17,883         467,685          226,654                    -
Trade and other payables                                   5,244,558         4,669,124        4,312,297        4,942,039        4,453,795           4,016,737
Amounts due to subsidiaries                                         -                 -                -         120,082          199,148               75,025
Debentures                                                   150,000           150,000          150,000          150,000          150,000             150,000
Retirement benefit obligations                               401,658           340,951          327,869          349,317          290,620             284,015
Deferred tax liability                                     1,305,007         1,414,570        1,641,942        1,218,030        1,326,518           1,544,496
                                                           -------------     -------------    -------------    -------------    -------------       -------------
Total liabilities                                         26,976,010        25,843,821       24,941,292       26,640,715       25,437,627          24,309,596
                                                          ========          ========         ========         ========         ========            ========

SHAREHOLDERS' FUNDS
Stated capital                                               203,020           203,020          203,020          203,020           203,020            203,020
Capital reserves                                           1,374,757        1,377,177        1,380,244           972,870           974,847            976,824
Reserve fund                                                 601,000           601,000          553,500          601,000           601,000            553,500
Revenue reserves                                           7,655,910        6,945,757        6,398,413        6,717,769         6,118,107          5,637,110
                                                           -------------     -------------    -------------    -------------     -------------      -------------
Funds attributable to equity holders of the parent         9,834,687        9,126,954        8,535,177        8,494,659         7,896,974          7,370,454
Minority interest                                            498,378           506,506          472,051                 -                 -                  -
                                                           -------------     -------------    -------------    -------------     -------------      -------------
                                                          10,333,065        9,633,460        9,007,228        8,494,659         7,896,974          7,370,454
                                                          ========          ========         ========         ========          ========           ========
Total liabilities, shareholders' funds and
minority interest                                         37,309,075        35,477,281       33,948,520       35,135,374       33,334,601          31,680,050
                                                          ========          ========         ========         ========         ========            ========
Net assets per share - Rs.                                    484.47            449.60           420.45           418.46           389.01              363.08
                                                          ========          ========         ========         ========         ========            ========


The interim financial statements for the six months ended 30th September are provisional and subject to audit.

I certify that the interim financial statements comply with the requirements of the Companies Act No.07 of 2007.




U.B.Elangasinha
Chief Financial Officer

The Board of Directors is responsible for the preparation and presentation of these interim financial statements.
Approved and signed for and on behalf of the Board.




E.H. Wijenaike                                                                                                                 G.S.N.Peiris
Managing Director                                                                                                              Director(Finance)

08th November 2010
The annexed notes form an integral part of these interim financial statements.
                                                                     CENTRAL FINANCE COMPANY PLC
                                                                     STATEMENT OF CHANGES IN EQUITY
GROUP EQUITY STATEMENT

For the six months ended 30th September 2010                            Stated         Revaluation        Other           Reserve         General          Retained         Minority         Total
                                                                        Capital         Reserves         Capital           Fund            Reserve         Earnings         Interest
                                                                                                         Reserves
                                                                          Rs.'000          Rs.'000         Rs.'000           Rs.'000         Rs.'000           Rs.'000       Rs.'000          Rs.'000
                                                                         -----------      -----------     -----------       -----------     -----------       -----------   -----------      -----------
Balance as at 1st April 2009                                             203,020        1,363,799           18,865          553,500       5,338,516           714,790       459,453        8,651,943
Net profit for the six months ended 30th September 2009(restated)                                                                                             432,379         44,471         476,850
Write back of unclaimed dividends                                                                                                                                3,742                          3,742
Provision for bad debts                                                                                                                                        (17,309)                       (17,309)
Depreciation on revaluation surplus                                                         (2,420)                                                              2,420
Dividends for the year ended 31st March 2009                                                                                                                   (76,125)      (31,873)       (107,998)
                                                                       -------------    -------------    -------------    -------------    -------------    ------------- -------------    -------------
Balance as at 30th September 2009                                        203,020       1,361,379             18,865         553,500       5,338,516        1,059,897        472,051       9,007,228
                                                                      ========         ========         ========         ========         ========         ======== ========              ========
Balance as at 1st April 2010                                             203,020       1,358,312             18,865         601,000       6,124,070           821,687       506,506       9,633,460
Net profit for the six months ended 30th September 2010                                                                                                       725,408         36,380         761,788
Provision for bad debts                                                                                                                            -            78,750                         78,750
Depreciation on revaluation surplus                                                         (2,420)                                                              2,420             -
Dividends for the year ended 31st March 2010                                                                                                                   (96,425)      (44,508)        (140,933)
                                                                       -------------    -------------    -------------    -------------    -------------    ------------- -------------     -------------
Balance as at 30th September 2010                                        203,020       1,355,892             18,865         601,000       6,124,070        1,531,840        498,378       10,333,065
                                                                      ========         ========         ========         ========         ========         ======== ========               ========

COMPANY EQUITY STATEMENT

For the six months ended 30th September 2010                                             Stated      Revaluation          Reserve         General          Retained                          Total
                                                                                         Capital       Reserve             Fund            Reserve         Earnings
                                                                                          Rs.'000       Rs.'000             Rs.'000          Rs.'000         Rs.'000                          Rs.'000
                                                                                         -----------   -----------         -----------      -----------     -----------                      -----------
Balance as at 01st April 2009                                                            203,020       978,801             553,500        5,327,335            5,921                       7,068,577

Net profit for the six months ended 30th September 2009(restated)                                                                                             391,569                        391,569
Write back of unclaimed dividends                                                                                                                                3,742                         3,742
Provision for bad debts                                                                                                                                        (17,309)                      (17,309)
Depreciation on revaluation surplus                                                                          (1,977)                                             1,977
Dividends for the year ended 31st March 2009                                                                                                                   (76,125)                       (76,125)
                                                                                        -------------    -------------    -------------    -------------    -------------                  -------------
Balance as at 30th September 2009                                                         203,020          976,824          553,500       5,327,335           309,775                     7,370,454
                                                                                       ========         ========         ========         ========         ========                       ========
Balance as at 01st April 2010                                                             203,020          974,847          601,000       6,112,889              5,218                    7,896,974

Net profit for the six months ended 30th September 2010                                                                                            -          615,360                        615,360
Provision for bad debts                                                                                                                            -            78,750                        78,750
Depreciation on revaluation surplus                                                                          (1,977)                                             1,977
Dividends for the year ended 31st March 2010                                                                                                                   (96,425)                       (96,425)
                                                                                        -------------    -------------    -------------    -------------    -------------                  -------------
Balance as at 30th September 2010                                                         203,020          972,870          601,000       6,112,889           604,880                     8,494,659
                                                                                       ========         ========         ========         ========         ========                       ========

The interim financial statements for the six months ended 30th September are provisional and subject to audit.
Figures in brackets indicate deductions.
The annexed notes form an integral part of these interim financial statements.
Business Segment Information
For the six months ended 30th September

                                                                                                                                                                                                                               Investments in Financial
                                                            Leasing ,hire purchase and                                                                                                                      Investments in                                                         Intra segmental
                                                                                              Vehicle Hire      Medical services     Power generation      Manufacturing             Insurance broking                        Instruments in excess of       Real estate                                          Total
                                                                  other advances                                                                                                                           Shares and Units                                                          adjustments
                                                                                                                                                                                                                                 statutory requirements

All figures in Rs.000                                           2010          2009         2010        2009     2010         2009    2010      2009     2010          2009           2010        2009      2010      2009        2010           2009      2010        2009        2010        2009         2010           2009
Revenue
Interest income                                                2,974,515    2,620,219       2,441       2,263        170       105      -         -         312              1,025      -            -        -         -          63,819       173,035    3,491            13        -            -      3,044,748       2,796,660
Operating income                                                     -            -       398,229     453,149     25,360    21,338   84,903    76,221   167,409            181,486   60,423       64,827      -         -             -             -        -            -           -            -        736,324         797,021
Other income                                                     161,227       98,178      10,642      12,361        197       308      -         -       1,475              2,162   15,024       10,975   92,114    87,967           -                   24,232       24,911    (113,139)     (76,879)     191,772         159,983
Income from external customers
                                                               3,135,742    2,718,397     411,312     467,773     25,727    21,751   84,903    76,221   169,196            184,673   75,447       75,802   92,114    87,967        63,819       173,035   27,723       24,924    (113,139)     (76,879)   3,972,844       3,753,664
Inter segment income                                              28,639       24,204       4,619       5,063      6,565     6,488    3,821     4,982        14              2,238      -            -      1,796     1,430           -                   13,163       15,731     (58,617)     (60,136)         -                     -
Total income                                                   3,164,381    2,742,601     415,931     472,836     32,292    28,239   88,724    81,203   169,210            186,911   75,447       75,802   93,910    89,397        63,819       173,035   40,886       40,655    (171,756)    (137,015)   3,972,844       3,753,664
Expense
Interest expenses                                              1,042,058    1,268,084       73,340    119,882                                                                                              35,206    37,768        44,851       152,705    9,695       12,244         -              -    1,205,150       1,590,683
Other operating and administrative expenses
                                                               1,028,649      871,685     199,442     261,519     19,756    17,854   15,349    16,713   116,301            104,353   46,220       46,164      416     3,401           -             -      44,681      67,784         -                   1,470,814       1,389,473
                                                               2,070,707    2,139,769     272,782     381,401     19,756    17,854   15,349    16,713   116,301            104,353   46,220       46,164   35,622    41,169        44,851       152,705    54,376      80,028                             2,675,964       2,980,156
Inter segment expense                                             23,604       15,852         -           -        3,086     2,333      -         -           8                105   13,472       12,862   11,754     9,664           -             -       6,693      19,320     (58,617)     (60,136)
Total expenses                                                 2,094,311    2,155,621     272,782     381,401     22,842    20,187   15,349    16,713   116,309            104,458   59,692       59,026   47,376    50,833        44,851       152,705    61,069      99,348     (58,617)     (60,136)   2,675,964       2,980,156
Segment results                                                1,070,070      586,980     143,149      91,435      9,450     8,052   73,375    64,490    52,901             82,453   15,755       16,776   46,534    38,564        18,968        20,330   (20,183)    (58,693)   (113,139)     (76,879)   1,296,880         773,508
Share of profits of associates(net of tax)                                                                                                                                                                                                                                                                  154,087          99,279
Profit before VAT on financial services and income tax                                                                                                                                                                                                                                                    1,450,967         872,787
VAT on financial services                                                                                                                                                                                                                                                                                  (141,667)        (81,869)
Profit before income tax                                                                                                                                                                                                                                                                                  1,309,300         790,918
Income tax expenses                                                                                                                                                                                                                                                                                        (547,512)       (314,068)
Profit after income tax                                                                                                                                                                                                                                                                                     761,788         476,850
Minority interest                                                                                                                                                                                                                                                                                            36,380          44,471
Profit for the period                                                                                                                                                                                                                                                                                       725,408         432,379

Interest expenses of the group other than the parent company are categorized under other expenses.
Figures for six months ended 2009 have been restated.
NOTES TO THE INTERIM FINANCIAL STATEMENTS
1 The interim financial statements of the Company and the Group have been prepared in accordance with the accounting policies set out in the Annual
  Report for the year ended 31st March 2010 and are in accordance with Sri Lanka Accounting Standards adopted by the Institute of Chartered
  Accountants of Sri Lanka. The financial statements provide the information as required by the Colombo Stock Exchange and SLAS 35-Interim Financial
  Reporting.
2 The presentation and classification of the financial statements for previous periods have been amended where relevant for better presentation and to
  be comparable with those of the current periods.
3 Stated capital is represented by number of shares in issue as given below:
                                                                                     30.09.2010         30.09.2009
  Ordinary shares                                                                    20,300,000         20,300,000

4 Market price per share for the three months period ended 30th September                  2010               2009
                                                                                             Rs.                Rs.
  Highest                                                                                950.00             309.75
  Lowest                                                                                 420.00             148.00
  Last traded                                                                            899.90             300.00

5 The number of shares held by individual Directors are as follows:                       As at               As at
                                                                                     30.09.2010         30.09.2009
  E. H. Wijenaike                                                                    3,078,540          3,053,540
  G.S.N.Peiris                                                                         302,446            277,446
  S.V. Wanigasekera                                                                    164,833            149,833
  C. Kiriella                                                                          162,332            142,332
  R. E. Rambukwelle                                                                    140,000            115,000
  A.K. Gunaratne                                                                       111,666             86,666
  M.S. Wijenaike                                                                        35,000             35,000
  U.L.Kadurugamuwa                                                                          Nil                Nil
  G.C.B.Wijeyesinghe                                                                        Nil                Nil
  T.K.Bandaranayake                                                                         Nil                Nil

6 Twenty largest shareholders of the company are as follows:                              As at 30.09.2010                     *As at 30.09.2009
                                                                                    Number of                             Number of
                                                                                                            %                                       %
                                                                                        shares                                shares
  Corporate Services Ltd.                                                            4,544,038             22.38          4,725,411              23.28
  E. H. Wijenaike                                                                    3,078,540             15.17          3,053,540              15.04
  Sri Lanka Insurance Corporation Ltd.                                               1,672,833              8.24          2,436,033              12.00
  A.J.Wijenaike                                                                        633,166              3.12            633,166               3.12
  J.B.Cocoshell (Pvt) Ltd.                                                             517,766              2.55            670,466               3.30
  N.W. Wijegoonawardene                                                                418,520              2.06            418,520               2.06
  G.S.N.Peiris                                                                         302,446              1.49            277,446               1.37
  N.M. Gunawardena                                                                     251,680              1.24            251,480               1.24
  P.R.Munasinghe                                                                       237,480              1.17            237,480               1.17
  C.R.Dunuwille                                                                        236,316              1.16            236,316               1.16
  S.K.Wedande                                                                          199,851              0.98            182,000               0.90
  P.M.Wijenaike                                                                        196,680              0.97            196,680               0.97
  S.V.Wanigasekera                                                                     164,833              0.81            149,833               0.74
  C.Kiriella                                                                           162,332              0.80            142,332               0.70
  N.M.Wahab                                                                            145,025              0.71            145,025               0.71
  National Asset Management Ltd/Ceylon Chamber of Commerce                             143,133              0.71            143,133               0.71
  R.E.Rambukwelle                                                                      140,000              0.69            115,000               0.57
  A.K.Gunaratne                                                                        111,666              0.55             86,666               0.43
  Janashakthi Insurance PLC                                                            101,300              0.50                 -                -
  Deutsche Bank AG-National Equity Fund.                                               100,000              0.49            104,000              0.51

  *Comparative shareholdings as at 30th September 2009 is reflected of the twenty largest shareholders as at reporting date.

7 The percentage of shares held by the public as at 30th September 2010 was 54.39% (30th September 2009 - 42.20%).

8 Contingent liabilities                                                                  As at               As at             As at               As at
  Company                                                                            30.09.2010         31.03.2010        30.09.2009          31.03.2009
                                                                                         Rs.000             Rs.000            Rs.000              Rs.000
  Guarantees issued to insurance companies on account of
   CF Insurance Brokers (Pvt) Ltd.                                                       1,000              9,500            10,000             10,000
  Guarantees issued to depositors                                                       27,840             12,465            13,855             21,890
  Performance bonds and warranties in respect of Letter of Credit facilities            69,453                 -                 -                  -
  Corporate guarantee issued on account of Hedges Court Residencies (Pvt) Ltd.          94,000            200,000           200,000            200,000
                                                                                       192,293            221,965           223,855            231,890
9 Related party transactions
  The company had the following significant transactions with its subsidiaries in the ordinary course of business during the six months period ended 30th
  September

                                                                                           As at                As at             As at              As at
                                                                                      30.09.2010          31.03.2010        30.09.2009         31.03.2009
   Amounts due from subsidiary companies                                                  Rs.000              Rs.000            Rs.000             Rs.000
    Loans and advances                                                                   907,619            922,785            761,944            580,814
    Trade and other receivables                                                           55,289             54,049             60,166            373,363
                                                                                         962,908            976,834            822,110            954,177
    Provision for doubtful debts                                                       (118,900)           (105,000)                 -                -
    Net amount due from subsidiary companies                                             844,008            871,834            822,110             954,177

   Amounts due to subsidiary companies from parent
    Term deposits                                                                        116,799            163,675            153,944            111,927
    Amounts due to subsidiaries                                                           94,254            199,147             75,025             39,988
                                                                                         211,053             362,822           228,969             151,915


                                                                                                         Six months                            Six months
                                                                                                              ended                                 ended

                                                                                                          30.09.2010                           30.09.2009
   The Company has received the following income from subsidiaries                                            Rs.000                               Rs.000
    Interest income                                                                                           26,811                               24,204
    Rent income                                                                                                1,827                                1,827

   The Company paid the following amounts to subsidiaries
    Rent                                                                                                      12,145                                12,104
    Interest                                                                                                   8,776                                13,017
    Vehicle hiring charges                                                                                     2,502                                 2,835



   Amount recognised as bad and doubtful expense in regard to subsidiaries
                                                                                                             13,900                                         -
   during the period

10 A second interim dividend of Rs.1.25 per share and a third and final divided of Rs.3.50 per share for the financial year ended 31st March 2010 was paid
   on 11th June 2010 and 01st September 2010 respectively.A first interim dividend of Rs.2.50 per share for the financial year ending 31st March 2011 has
   been declared for payment on 18th November 2010.


11 Interest expenses of the group other than the parent company are categorized under other expenses.


12 According to the best of the knowledge and belief of the Directors there have been no other events subsequent to this interim period, which require
   adjustments to or disclosure in the Interim Financial Statements at the time of the issue of these financial statements to the shareholders.
                                                     CORPORATE INFORMATION
NAME OF COMPANY                                                                          BANKERS
Central Finance Company PLC                                                              Bank of Ceylon
LEGAL FORM                                                                               Citi Bank N.A.
A Quoted Public Company with limited liability incorporated in Sri Lanka                 Commercial Bank of Ceylon PLC
on 5th December 1957 and re--registered under the Companies Act No.07                    ICICI Bank Ltd.
 of 2007 on 9th August 2007.                                                             Hatton National Bank PLC
Registered under Finance Companies Act No.78 of 1988 and Finance Leasing                 Hongkong & Shanghai Banking Corporation Limited
Act No.56 of 2000                                                                        NDB Bank PLC
Approved Credit Agency under:                                                            Nations Trust Bank PLC
* Mortgage Act No.6 of 1949                                                              People’s Bank
* Trust Receipt Ordinance No.12 of 1947                                                  Sampath Bank PLC
                                                                                         Seylan Bank PLC
                                                                                         Standard Chartered Bank
COMPANY REGISTRATION NUMBER                                                              Union Bank Ltd.
PQ 67                                                                                    Habib Bank Ltd.

                                                                                         AUDITORS
C.Wijenaike              -President                                                      SJMS Associates,
                                                                                         Chartered Accountants,
DIRECTORS                                                                                2, Castle Lane,
S.V. Wanigasekera        -Chairman                                                       Colombo 04.
E.H. Wijenaike           - Managing Director
G.S.N. Peiris            - Director (Finance)                                            LEGAL ADVISERS
C. Kiriella              - Director (Legal)                                              F.J. & G. De Saram,
M.S. Wijenaike                                                                           Attorneys-at-Law,
U.L. Kadurugamuwa                                                                        P.O.Box 212,
G.C.B. Wijeyesinghe                                                                      Colombo.
R.E. Rambukwelle         - Director (Marketing and Operations)
A.K. Gunaratne           - Director (Group Co-ordination)                                COMPANY SECRETARIES
T.K.Bandaranayake                                                                        Corporate Services Limited,
                                                                                         216,De Saram Place,
STOCK EXCHANGE LISTING                                                                   Colombo10.
The ordinary shares of the Company are listed on the Colombo Stock                       Telephone : 011 - 4605100
Exchange of Sri Lanka.                                                                   Facsimile   : 011 - 4718220

HEAD/ REGISTERED OFFICE
84, Raja Veediya, Kandy.
Telephone                : 081- 2227000
Facsimile                : 081- 2232047                          BRANCHES AND MARKETING OFFICES
                                                                 Ambalangoda, Ampara, Anuradhapura, Avissawella, Badulla, Bakamuna,
CITY OFFICE                                                      Bandarawela, Batticaloa, Chilaw, Dambulla, Dehiattakandiya, Embilipitiya,
270, Vauxhall Street,                                            Galle, Gampaha, Giriulla, Hambantota, Hanwella, Hatton, Hingurakgoda,
Colombo 2.                                                       Homagama, Horana, Ja-Ela, Jaffna, Kantale, Kegalle, Kiribathgoda,
Telephone                : 011 - 2300555                         Kuliyapitiya, Kurunegala, Maharagama, Mahiyanganaya, Malabe, Matale,
Facsimile                : 011- 2300441                          Matara, Matugama, Melsiripura, Monaragala, Negombo, Nikaweratiya,
E-mail                   : cenfin@cf.lk                          Nittambuwa, Nugegoda, Nuwaraeliya, Panadura, Piliyandala, Polonnaruwa,
Website                  : www.cf.lk                             Pottuvil, Puttlam, Ratmalana, Ratnapura, Tambuttegama, Tissamaharama,
                                                                 Vavuniya, Warakapola, Wennappuwa.

								
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