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PT SINAR MAS MULTIARTHA Tbk AND ITS SUBSIDIARIES TABLE OF CONTENTS Page Independent Auditors’ Report The Directors’ Statement on the Responsibility on the Consolidated Financial Statements of PT Sinar Mas Multiartha Tbk and Its Subsidiaries For the Years Ended December 31, 2014 and 2013 CONSOLIDATED FINANCIAL STATEMENTS - For the years ended December 31, 2014 and 2013 Consolidated Statements of Financial Position 1 Consolidated Statements of Comprehensive Income 5 Consolidated Statements of Changes in Equity 6 Consolidated Statements of Cash Flows 7 Notes to Consolidated Financial Statements 9 - 1 - PT SINAR MAS MULTIARTHA Tbk AND ITS SUBSIDIARIES Consolidated Statements of Financial Position December 31, 2014 and 2013 Figures are Presented in Millions of Rupiah, unless Otherwise Stated Notes 2014 2013 ASSETS Cash and Cash in Banks 2,4,51,52 2,637,727 2,599,638 Short-term Investments 2,5,51,52 Related parties 50 1,340,807 1,236,438 Third parties 23,853,841 23,305,786 Allowance for impairment losses 125 248 Net 25,194,523 24,541,976 Securities Purchased Under Agreements to Resell 2,6,52 - 139,211 Consumer Financing Receivables 2,7,52 Third parties 851,667 1,209,070 Unearned income 246,269 310,354 Allowance for impairment losses 8,340 2,729 Net 597,058 895,987 Net Investments in Finance Lease 2,8 Third parties 125,649 164,197 Guaranteed residual value 2,295 6,494 Unearned lease income 27,988 41,572 Security deposits 2,295 6,494 Allowance for impairment losses 1,798 2,167 Net 95,863 120,458 Factoring Receivables 2,9,51,52 Related parties 50 69,825 70,084 Third parties 1,333,444 1,085,351 Deferred factoring income - 8,348 Allowance for impairment losses 4,580 3,021 Net 1,398,689 1,144,066 Premiums and Reinsurance Receivables 2,10,51 Related parties 50 234,057 117,809 Third parties 735,229 460,492 Allowance for impairment losses 4,659 1,969 Net 964,627 576,332 Loans 2,11,51,52,53 Related parties 50 818,780 944,678 Third parties 13,479,655 10,021,393 Total 14,298,435 10,966,071 Allowance for impairment losses 75,078 56,333 Net 14,223,357 10,909,738 Acceptance Receivables 2,12,51,52 67,836 238,324 Ijarah Assets 2,13 Cost 173,733 126,015 Accumulated depreciation 78,765 21,459 Total 94,968 104,556 Allowance for impairment losses 10,788 - Net 84,180 104,556 See accompanying notes to consolidated financial statements which are an integral part of the consolidated financial statements