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SUSTAINABILITY JOURNEY   HOW WE ARE GOVERNED   FINANCIAL STATEMENTS   ADDITIONAL INFORMATION  43


            STATEMENT OF

            VALUE ADDED










                                                                                             2021            2020
                                                                                           RM’000          RM’000
             Value Added
             Revenue                                                                     2,259,698       2,184,463
             Purchase of Goods and Services                                              (2,031,797)     (2,028,902)
             Value Added by the Group                                                      227,901         155,561
             Other Operating Income                                                         99,391           2,185
             Other Gains/(Losses), Net                                                      41,998          (2,816)
             Reversal of Impairment of Non-Financial Assets                                 16,427          13,537
             Impairment of Financial Assets, Net                                            (1,619)         (6,565)
             Finance Income                                                                  2,587           3,835
             Finance Cost                                                                   (47,045)       (36,784)
             Value Added Available for Distribution                                        339,640         128,953

             Distribution
             To Employees
               Employment Cost                                                              86,959          79,769
             To Government/Approved Agencies
               Taxation and Zakat                                                           44,487          31,984
             To Shareholders
               Dividends                                                                         -               -
             Retained for Reinvestment and Future Growth
               Depreciation and Amortisation                                                82,841          88,428
               Retained Profits/(Losses)                                                   125,353         (71,228)

             Total Distributed                                                             339,640         128,953
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