Financial
Statements


Since 2015, annual reports have included environmental, occupational safety, industrial, and social responsibility aspects in addition to operational indicators, in accordance with GRI standards

Independent
auditor’s
report



Statement of financial position

As at 31 December 2024

In thousands of tenge Note 31 December
2024
31 December
2023
Assets   
Non-current assets
Property, plant and equipment5 66.304.016136.326.009
Non-current portion of advances paid7 4.222.5414.401.501
Intangible assets6 3.279.8754.910.563
Other non-current assets 8 277.383267.011
   74.083.815145.905.084
 
 Current assets
Inventories11 1.911.6197.094.098
Trade receivables from related parties27 10.247.9508.968.981
Trade receivables from third parties9 14.554.1528.236.444
Contract assets9 370.0503.407.428
Income tax prepaid  1.580.5342.825.671
Other current assets10 7.042.0396.367.675
Advances paid7 931.0741.020.105
Cash and cash equivalents12 13.575.0886.336.198
   50.212.50644.256.600
Total assets  124.296.321190.161.684
 
Equity and liabilities
Equity
Share capital13 12.241.48712.241.487
Retained earnings  41.548.28123.327.373
   53.789.76835.568.860
 
Non-current liabilities
Loans14 9.000.000-
Issued bonds15 22.467.09022.286.506
Lease liabilities16 211.859367.520
Employee benefit obligations  700.622580.855
Trade payables 18 737.80810.992.015
Liabilities under contracts with customers17 1.199.2411.037.338
Deferred income tax liabilities20 7.775.5786.814.952
  42.092.19842.079.186
 
Current liabilities
Loans 14 146.2501.498.746
Issued bonds15 659.086659.086
Lease liabilities16 155.173268.195
Employee benefit obligations  964.51976.417
Trade payables18 16.387.16879.674.076
Liabilities under contracts with customers17 1.824.00221.038.720
Taxes payable and other mandatory payments  2.419.7893.127.481
Provisions19 -413.252
Other current liabilities19 5.858.3685.757.665
   28.414.355112.513.638
Total liabilities  70.506.553154.592.824
Total equity and liabilities  124.296.321190.161.684


Statement of comprehensive income

For the year ended 31 December 2024

In thousands of tengeNote 2024 2023
Revenue21 88.835.14978.787.733
Operating lease income21 132.694146.401
Cost22 (69.435.834)(67.707.245)
Gross profit 19.532.00911.226.889
 
General and administrative expenses23 (11.044.441)(6.492.879)
Profit from core operations  8.487.5684.734.010
 
Finance income24 1.896.4885.949.281
Finance costs25 (8.096.989)(12.430.505)
Foreign exchange gain  2.524.60214.078.477
Other income, net26 18.906.683580.935
Profit before tax  23.718.35212.912.198
 
Income tax expense 20 (5.373.274) (2.193.043)
Profit for the year  18.345.07810.719.155
 
Other comprehensive income
Other comprehensive income that will not be reclassified to profit or loss in subsequent periods (net of tax):   
(Loss)/gain on revaluation of long-term employee benefit obligations  (124.170)83.050
Net other comprehensive (loss)/income that will not be reclassified to profit or loss in subsequent periods  (124.170)83.050
Other comprehensive (loss)/income for the year, net of taxes  (124.170)83.050
Total comprehensive income for the year, net of tax  18.220.90810.802.205
 
Earnings per share
Basic and diluted profit for the year attributable to ordinary shareholders of the parent (in tenge)13 3.253,771.901,20


Statement of changes in equity

For the year ended 31 December 2024

In thousands of tenge Share capital Retained earnings Total equity
At 1 January 202312.241.48712.525.16824.766.655
 
Profit for the year-10.719.15510.719.155
Other comprehensive income for the year, net of income tax -83.05083.050
Total comprehensive income for the year-10.802.20510.802.205
At 31 December 2023 12.241.487 23.327.373 35.568.860
 
Profit for the year- 18.345.078 18.345.078
Other comprehensive loss for the year, net of income tax - (124.170) (124.170)
Total comprehensive income for the year- 18.220.908 18.220.908
At 31 December 2024 12.241.487 41.548.281 53.789.768


Statement of cash flows

For the year ended 31 December 2024

In thousands of tengeNote 2024 2023
Cash flows from operating activities
Profit before tax  23.718.35212.912.198
 
Adjustments for:
Amortisation22, 23 13.551.61213.913.881
Finance costs25 8.096.98912.430.505
Finance income24 (1.896.488)(5.949.281)
Reversal of inventories to net realisable value23 (76.173)(120.057)
Accrual of provision for impairment of advances paid, other current and non-current assets23 1.003.42760.878
Gain on disposal of property, plant and equipment and intangible assets  (18.108.723)(356.480)
Employee benefit obligations  93.967122.504
Foreign exchange gain   (2.524.602)(14.078.756)
Accrual / (reversal) of allowance for expected credit losses on accounts receivable23 2.573.218 (365.090)
(Reversal) / accrual of provisions 19 (3.207.255)4.757.528
Accrual of provision for compensation to management personnel 23 874.018-
Accrual / (reversal) of allowance for expected credit losses on cash and cash equivalents12 65.295(161.788)
Cash flows from operating activities before changes in working capital and other items  24.163.63723.166.042
 
Changes in working capital and other items
Change in trade receivables  (6.445.790)5.228.761
Change in inventories  5.267.230(1.745.385)
Change in advances paid  (71.687)2.049.530
Changes in other current assets  (2.518.170)1.920.713
Change in trade payables  2.666.473(1.055.843)
Change in taxes payable and other mandatory payments  (11.404.940)(1.372.010)
Change in liabilities under contracts with customers  (6.638.690)1.230.589
Change in other current liabilities  3.014.7914.211.507
Change in employee benefit obligations  (84.286)(90.397)
Cash flows from operating activities  7.948.56833.543.507
 
Interest received  971.7681.032.308
Interest paid on loans 28 (29.948)(2.820.015)
Interest paid on lease liabilities28 (110.226)(106.111)
Coupon interest paid on bonds28 (2.870.006)(2.985.098)
Income tax paid  (4.442.791)(2.629.243)
Net cash flows from operating activities  1.467.36526.035.348
 
Cash flows from investing activities
Acquisition of property, plant and equipment and intangible assets, and payment of advances for acquisition of non-current assets  (4.676.946)(4.993.458)
Proceeds on disposal of property, plant and equipment and intangible assets  35.810.11419.252.683
Other payments, net  (22.631)-
Net cash flows from investing activities 31.110.537 14.259.225
 
Cash flows from financing activities
Repayment of loans28 (1.497.415)(35.081.453)
Receipt of loans28 9.000.000-
Repayment of issued bonds28-(2.000.779)
Repayment of accounts payable in respect of assets purchased in instalments   (32.639.268)(12.060.084)
Repayment of principal portion of lease liabilities28 (289.462)(278.657)
Net cash used in financing activities  (25.426.145)(49.420.973)
Net change in cash and cash equivalents  7.151.757(9.126.400)
 
Effect of changes in foreign exchange rates on the balances of cash and cash equivalents in foreign currency  152.42822.623
Change in allowance for expected credit losses on cash and cash equivalents  (65.295)161.788
Cash and cash equivalents at the beginning of the year  6.336.19815.278.187
Cash and cash equivalents at the end of the year12 13.575.0886.336.198