) Revenue Total revenues from operation of SAAM Group consist of (1) revenues from provision of service and rental including the procurement of project site location and rendering of related services to
) Provision for penalty on projects delay 113.6 88.7 24.9 28.1 Other current liabilities 101.2 116.8 (15.6) (13.4) Liabilities under financial arrangement agreement – net of current portion 29.7 70.2 (40.5
38,459 million in net profit, increasing Baht 4,121 million or 12.00 percent compared to the year before. The increase was mainly due to a decrease of Baht 9,278 million or 22.19 percent in allowance for
Company increase the provision for bad debt to prevent uncertainty of economic fluctuation in the future i.e. economic slowdown, natural disaster and etc. However, for the fourth quarter of 2016, the bad
employee expenses on growing business, depreciation on building improvement and equipment of the subsidiaries and the provision for doubtful accounts of the Company. Finance cost In 2Q17, the Group has the
baht, which was resulted from higher provision in the first quarter of 2020 with probable forward looking risk factors due to COVID-19 situation. Net profit was mainly contributed by continued growth of
baht, For the second quarter of 2021, net profit of the parent was 647 million baht decreased by 30% y-y which was resulted from higher provision in August 2021 with probable forward looking risk factors
, decreasing by 13% and others of 124 million baht. 5 -Allowance for doubtful account The Company and subsidiary companies have increased allowance for doubtful accounts from 2,259 million baht as at the end of
by 23% y-y and others receivable of 127 million baht. - Allowance for doubtful accounts As of May 31, 2019, the Company provided allowance for doubtful accounts of 3,062 million baht or 3.59% of total
: credit card receivable 35,675 million baht, loans receivable 40,049 million baht, hire purchase receivable 1,324 million baht and other receivable 162 million baht. - Allowance for doubtful accounts As of