Advanced CADCAM Software Solutions For The Manufacturing Industry

Vero Software

Key Financial Data

Advanced CADCAM Software Solutions For The Manufacturing Industry

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Consolidated income statement
Consolidated balance sheet
Consolidated cash flow statement
Consolidated statement of changes in equity

Download the PDF Notes to the accounts extracted from Annual Report

Consolidated income statement

For the year ended 31 December 2008

Ordinary
2008
Exceptional
2008
Total
2008
2007
£’000
£’000
£’000
£’000
Revenue
13,913
-
13,913
12,671
Cost of Sales

(833)

-

(833)
(766)
Gross Profit

13,080

-

13,080
11,905
Selling expenses

(6,345)

(343)

(6,688)
(5,691)
Administrative expenses

(2,501)

(93)

(2,594)
(2,434)

Product development

(2,047)

(9)

(2,056)
(1,917)
Net other operating income

60

-

60
12
Earnings before interest, tax, depreciation and amortisation (EBITDA)

2,247

(445)

1,802
1,875
Depreciation

(205)

-

(205)
(213)
Amortisation

(509)

-

(509)
(390)
Operating Profit

1,533

(445)

1,088
1,272
Interest income

34

-

34
27
Interest expense

(198)

-

(198)
(211)
Profit before taxation

1,369

(445)

924
1,088
Taxation

(75)

-

(75)
(420)
Profit after taxation

1,294

(445)

849
668
Earnings per share – pence (basic)
2.28
1.79
Earnings per share – pence (fully diluted)

2.27

1.77

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Consolidated balance sheet

For the year ended 31 December 2008

2008
2007
£’000
£’000
Assets
Non-current assets
Property, plant and equipment
854
1,043
Goodwill
3,066
3,055
Other intangible assets
3,837
2,909
Investments
1
1
Deferred tax

239

147

7,997
7,155
Current assets
Inventories
14
18
Trade and other receivables
7,904
6,364
Current tax
105
53
Financial assets
-
111
Cash and cash equivalents
1,632
812
9,655
7,358
Total assets
17,652
14,513
Liabilities
Non-current liabilities
Bank loans and borrowings
1,119
1,976
Other creditors
13
19
Deferred tax
637
539
Provisions for liabilities
638
524
2,407
3,058
Current liabilities
Trade and other payables
846
649
Current tax
368
150
Bank loans and borrowings
3,374
1,496
Deferred revenue
1,701
1,457
Financial liabilities
122
43
Other creditors
2,192
2,072
8,603
5,867
Total liabilities
11,010
8,925
Equity
Issued share capital
186
186
Share premium
1,860
5,860
Other reserves
26
179
Retained earnings
4,570
(279)
Total equity
6,642
5,588
Total equity and liabilities
17,652
14,513
Approved by the Board of Directors on 8th April 2009
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Consolidated cash flow statement

For the year ended 31 December 2008

2008
2007
£’000
£’000
Cash flows from operating activities
Cash generated from operations
1,916
1,746
Interest paid
(213)
(218)
Taxes paid
(39)
(169)
Net cash from operating activities
1,664
1,359
Cash flows from investing activities
Acquisition of subsidiaries net of cash acquired
-
1
Payment of deferred consideration
(587)
(539)
Purchase of property, plant and equipment
(173)
(97)
Proceeds from sale of property, plant and equipment
247
26
Purchases of intangible assets
(197)
(45)
Capitalised product development
(1,008)
(1,026)
Sales of financial asset
118
106
Interest received
34
29
Net cash used in investing activities
(1,566)
(1,545)
Cash flows from financing activities
Payments of finance lease liabilities
(81)
(70)
Loans
524
462
Loans repaid
(613)
(546)
Net cash used in financing activities
(170)
154
Net decrease in cash and cash equivalents
(72)
340
Cash and cash equivalents at beginning of year
(16)
343
Exchange gains/losses on cash and cash equivalents
180
19
Cash and cash equivalents at end of the year
92
(16)
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Consolidated statement of changes in equity

Share
Capital
Share
Premium
Share Based
Compensation
Translation
Reserve
Other
Reserves
Retained
Earnings
Total
Equity
£’000
£’000
£’000
£’000
£’000
£’000
£’000
As at 1 January 2007

186

5,860

71

(142)

10

(1,053)
4,932
Profit for the year

-

-

-

-

-

668
668
Movement for the year

-

-

35

-

-

-

35

Transfer

-

-

(106)

-

-

106

-

Current translation differences

-

-

-

(49)

2

-

(47)

As at 31 December 2007

186

5,860

-

(191)

12

(279)
5,588
Profit for the year

-

-

-

-

-

849
849
Transfer

-

(4,000)

-

-

-

(4,000)
-

Current translation differences

-

-

-

203

2

-
205

As at 31 December 2008

186

1,860

-

12

14

4,570
6,642
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