had announced significant measures using for employees and visitors as follows; - Service staff needs to wear a face mark whole the times while working - Providing body temperature examination before
or equivalent to 57.12 % which having the significant movement as follows: Cash and cash equivalent decreased Baht 20.72 million or equivalent to 39.27% due to using the Company’s working capital
from constuction of EPC service and revenue from construction contracts which are defined output by using the percentage of completion method. Currently, the Group has backlog for construction services
cash equivalents 22.73 55.46 Cash Flow from Operating Activities CFO as of March 31, 2020 was 27.76mb. The management will consider using the surplus CFO in investment or any other activities to create
economic slowdown. Causing, the Thai government declared the Emergency Decree. With measures prohibiting aircraft, vessel, motor vehicles, or any other types of conveyance, or using transportation routes
Company’s other income were THB 2.85 million, decreased by THB 4.80 million or equivalent to 62.75 percent compared to the same period of last year. Because in 2019, the Company using the cash received from
. The principal changes can be summarized into classification and measurement of financial assets and liabilities, calculation of impairment using the concept of expected credit losses, hedge accounting
revenue recognition and payment received during the period. - Repayment of long-term bank borrowings decreased amounting to 29.70 Million Baht during 2019 - The Group has short-term borrowing for using as
) in cash and cash equivalents (18.40) 11.66 Cash Flow from Operating Activities CFO as of September 30, 2019 was 148.98mb, higher than same period last year. The management will consider using the
appraiser by using knowledge and capability equivalent to asset appraisal for widely used and by using all valuation methods stipulated in the standards of asset appraisal for at least 1 job within 2 years