Aset Lain-lain Other Assets
PT SMARTFREN TELECOM Tbk DAN ENTITAS ANAK
Catatan atas Laporan Keuangan Konsolidasian 31
Maret 2015
Tidak Diaudit
dan 31 Desember 2014 dan 2013 Disajikan Kembali dan
untuk
Periode Triwulan
yang Berakhir
31 Maret 2015 dan 2014 Tidak Diaudit Angka-angka Disajikan dalam Rupiah,
kecuali Dinyatakan Lain
PT SMARTFREN TELECOM Tbk AND ITS SUBSIDIARIES
Notes to Consolidated Financial Statements March 31, 2015 Unaudited and
December 31, 2014 and 2013 as Restated and For the Quarter Periods Ended
March 31, 2015 and 2014 Unaudited Figures are Presented in Rupiah,
unless Otherwise Stated
- 69 -
14. Pinjaman Jangka Pendek 14. Short-term Loans
First Anglo Financial Pte Ltd Fase I First Anglo Financial Pte Ltd Phase I
Pada tanggal 30 April 2013, Perusahaan telah menandatangani Perjanjian Kredit dengan First
Anglo Financial Pte Ltd, pihak ketiga sebagai pemberi
pinjaman, sehubungan
dengan pemberian fasilitas pinjaman fase I sebesar
US 90.000.000. Fasilitas pinjaman tersebut berjangka waktu dua belas 12 bulan dan dapat
diperpanjang dua belas 12 bulan berdasarkan kesepakatan kedua belah pihak. Pinjaman ini
dikenakan tingkat suku bunga LIBOR tiga 3 bulan ditambah margin tertentu dan jatuh tempo
setiap enam 6 bulan. On April 30, 2013, the Company has signed a
Loan Agreement with First Anglo Financial Pte Ltd., third party, as lender, in connection with the
loan facility phase I of US 90,000,000 with a term of twelve 12 months which can be
extended for another twelve 12 months upon agreement of both parties. The loan facility bears
an interest rate of three 3 month LIBOR plus certain margin and payable every six 6 months.
Perjanjian kredit ini akan digunakan untuk pembayaran utang Perusahaan dan entitas
anak, serta modal kerja. Fasilitas pinjaman ini dijamin
oleh pemegang
saham utama
Perusahaan, yaitu PT Wahana Inti Nusantara. The loan will be used for debt repayment of the
Company and its subsidiary, as well as use for working capital. The loan is secured by a
corporate guarantee of the Company’s major shareholder, PT Wahana Inti Nusantara.
Berdasarkan amandemen perjanjian bertanggal 3 April 2014, jatuh tempo pembayaran disepakati
menjadi dua tahun setelah penarikan. Based
on amendment
agreement dated
April 3, 2014, the maturity of the payment was agreed to be the second annual anniversary date
after the drawdown. Berdasarkan amandemen perjanjian bertanggal
1 Oktober 2014, fasilitas pinjaman dapat diperpanjang
sesuai dengan
kesepakatan bersama. Fasilitas pinjaman juga diubah menjadi
sebesar US 120.000.000 dan akan jatuh tempo pada 30 November 2015.
Based on
amendment agreement
dated October 1, 2014, the availability period of loan
facility can be extended subject to mutual agreement. Loan facility also has been changed
become US 120,000,000 and will be due on November 30, 2015.
Saldo terutang per 31 Maret 2015 dan 31 Desember 2014 sebesar US 48.900.000 atau
masing-masing setara
dengan Rp 639.807.600.000 dan Rp 608.316.000.000.
The outstanding
loan payable
as of
March 31, 2015 and December 31, 2014 amounted to US 48,900,000 or equivalent to
Rp 639,807,600,000 and Rp 608,316,000,000, respectively.
First Anglo Financial Pte Ltd Fase II First Anglo Financial Pte Ltd Phase II
Pada tanggal 12 November 2013, Perusahaan telah menandatangani Perjanjian Kredit dengan
First Anglo Financial Pte Ltd, pihak ketiga sebagai pemberi pinjaman, sehubungan dengan
pemberian fasilitas pinjaman fase II sebesar US 90.000.000. Fasilitas pinjaman tersebut
berjangka waktu dua belas 12 bulan dan dapat diperpanjang dua belas 12 bulan berdasarkan
kesepakatan kedua belah pihak. Pinjaman ini dikenakan tingkat suku bunga LIBOR tiga 3
bulan ditambah margin tertentu dan jatuh tempo setiap enam 6 bulan.
On November 12, 2013, the Company has signed a Loan Agreement with First Anglo
Financial Pte Ltd., third party, as lender, in connection with a loan facility phase II of
US 90,000,000 with a term of twelve 12 months which can be extended for another
twelve 12 months upon agreement of both parties. The loan facility bears an interest rate of
three 3 month LIBOR plus certain margin and payable every six 6 months.
PT SMARTFREN TELECOM Tbk DAN ENTITAS ANAK
Catatan atas Laporan Keuangan Konsolidasian 31
Maret 2015
Tidak Diaudit
dan 31 Desember 2014 dan 2013 Disajikan Kembali dan
untuk
Periode Triwulan
yang Berakhir
31 Maret 2015 dan 2014 Tidak Diaudit Angka-angka Disajikan dalam Rupiah,
kecuali Dinyatakan Lain
PT SMARTFREN TELECOM Tbk AND ITS SUBSIDIARIES
Notes to Consolidated Financial Statements March 31, 2015 Unaudited and
December 31, 2014 and 2013 as Restated and For the Quarter Periods Ended
March 31, 2015 and 2014 Unaudited Figures are Presented in Rupiah,
unless Otherwise Stated
- 70 - Perjanjian kredit ini akan digunakan untuk
pembayaran utang Perusahaan dan entitas anak, serta modal kerja. Fasilitas pinjaman ini
dijamin Perusahaan dari pemegang saham utama Perusahaan, yaitu PT Wahana Inti
Nusantara. The loan will be used for debt repayment of the
Company and its subsidiary, as well as use for working capital. The loan is secured by a
corporate guarantee of the Company’s major shareholder, PT Wahana Inti Nusantara.
Pada tanggal 16 April 2014, Perusahaan telah memperbaharui Perjanjian Kredit Fase II
tersebut, dimana jumlah fasilitas pinjaman diubah menjadi US120.000.000.
On April 16, 2014, the Company has amended this Loan Agreement Phase II, whereas the total
of loan
facility has
been changed
to US 120,000,000.
Berdasarkan amandemen perjanjian bertanggal 1 Oktober 2014, jatuh tempo pembayaran
disepakati menjadi dua tahun setelah penarikan. Based
on amendment
agreement dated
October 1, 2014, the maturity of the payment was agreed to be the second annual anniversary
date after the drawdown. Berdasarkan amandemen perjanjian bertanggal
16 Oktober 2014, fasilitas pinjaman dapat diperpanjang
sesuai dengan
kesepakatan bersama
dan akan
jatuh tempo
pada November 30, 2015.
Based on
amendment agreement
dated October 16, 2014, the availability period of loan
facility can be extended subject to mutual agreement
and will
be due
on November 30, 2015.
Pada tanggal 31 Maret 2015 dan 31 Desember 2014, Perusahaan mempunyai pinjaman dengan
nilai terutang
berturut-turut sebesar
US 120.000.000 atau masing-masing setara dengan
Rp 1.570.080.000.000
dan Rp 1.492.800.000.000.
As of March 31, 2015 and December 31, 2014, the Company has outstanding loan totaling to
US 120,000,000
or equivalent
to Rp
1,570,080,000,000 and
Rp 1,492,800,000,000, respectively.