ECIC IR 2023
ANNUAL Financial Statements for the year ended 31 March 2023
E
D
H
S
I
L I
N
B
2
0
A
0
T
S
1
E
E X P O R T C R E
L T D
O C
A S
C
R I
D I
F
T
A
I
N
H
S
T
U
U
R
O
A
S
N
F
C
O
E
N
C
O
O
I
R
T
P
A
O
R
Notes to the Financial Statements
5.2 Liquidity risk Liquidity risk is the risk that the Corporation will not be able to meet its financial obligations as they fall due. The Corporation is exposed to daily cash requirements to meet operational expenses as well as claims as they fall due. The Corporation has established an operational cash task team which meets on a weekly basis to review weekly and rolling monthly cash forecasts. The task team is mandated to ensure that funds which are intended to meet operational expenses are made available when required. The Corporation’s investment strategy is set to be cognisant of the term of financial liabilities and assets. Operational cash task team monitors adherence to liquidity requirements. The liquidity profile of all financial assets and liabilities is reflected below:
Greater than 5 years R’000
Within 1 year R’000
1 to 5 years R’000
Total R’000
2023
Financial assets Financial assets at fair value Trade and other receivables Cash and cash equivalents Reinsurance contract assets Financial liabilities Trade and other payables Derivative instruments Insurance contract liabilities
2 904 491
2 573 784
2 154 820
7 633 095 1 178 700 2 355 461
522 093
553 473
103 134
2 355 461
-
-
147 099
3 953
514
151 566
5 929 144
3 131 210
2 258 468
11 318 822
311 239 108 457
848
- -
312 087 108 457
-
1 985 445
776 398 22 614 378 360
1 201 414
3 963 257
Lease liability
5 009
-
27 623 671 510
Liability for interest make up Deferred acquisition cost
152 312
140 838
337
608
79
1 024
2 562 799
1 178 828
1 342 331
5 083 958
Greater than 5 years R’000
Within 1 year R’000
1 to 5 years R’000
Total R’000
2022
Financial assets Financial assets at fair value Trade and other receivables Cash and cash equivalents Reinsurance contract assets Financial liabilities Trade and other payables Insurance contract liabilities
1 857 915
1 161 219
1 559 177
4 578 311 1 000 755 4 487 620
298 948
545 242
156 565
4 487 620
-
-
2 317
4 470
910
7 697
6 646 800
1 710 931
1 716 652
10 074 383
127 555
787
98
128 440
1 089 205
711 120
966 846
2 767 171
Lease liability
145
-
-
145
Liability for interest make up Deferred acquisition cost
136 679
426 344
110 399
673 422
357
688
140
1 185
1 353 941
1 138 939
1 077 483
3 570 363
YOUR EXPORT RISK PARTNER
50
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