from 57.57% in 2021 due to the increase in employee-related costs to support the planned increase of scale and scope of services to be provided by the Company and clients in mobile operator sector, in
ตามที่กำหนดในข้อ 4(1) ถึง (5) ซึ่งจากข้อมูลที่ บลน.(ประเทศไทย)แจ้งมาแสดงได้ว่า COO มีลักษณะเป็นหัวหน้างานโดยตรงของสายงาน compliance และ Finance/Sales support โดยไม่ได้อยู่ภายใต้การควบคุมดูแลของ CEO ของ
186.07 million, net increase in trade accounts receivable and other accounts receivable of Baht 8.73 million, increase in cash advance payment for purchase of assets of Baht 4.49 million and increase in
142.39 million Baht, decreased by 471.34 million Baht due to adjustment of the retention amount and advance payment for Tubma reservoir development project which recorded as Payable for purchase of fixed
due to advance payment for construction projects and development cost of water supply, Khlong Luang Rachalothorn Reservoir Project. 2) Liabilities At the end of 30 September 2019, total liabilities were
%) Non-current assets Advance payment for purchase of property, plant and equipment 210 210 0% Property, plant and equipment 13,049 13,839 (6%) Intangible assets 6 7 (9%) Other non-current assets 340 330 3
attractive promotions and redeem significant rewards. In addition, the application will help to speed up the branch operation where customers can order in advance, therefore, spending less time in queuing and
property (net) 124.2 100.7 23.5 23.3 Property, plant and equipment (net) 8,059.4 8,129.4 (70.0) (0.9) Advance payments for constructions and purchases of fixed assets 153.2 19.7 133.5 >100 Rights to service
Baht 194.27 million or 6.19 percent, due to increase in fixed assets of Baht 111.62 million, increase in inventory of Baht 93.38 million, increase in cash advance payment for purchase of assets of Baht
million Baht mainly due to advance payment for construction projects and development cost of water supply, Khlong Luang Rachalothorn Reservoir Project. 2) Liabilities At the end of 31 December 2019, total