312,994,597 Annual Report 2015 PT GMF AeroAsia
Corporate Governance
PERUSAHAAN
Corporate Social Responsibility
Audited Financial Statements
ANNUAL REPORT AWARD 2015
Reference of 2015 Annual Report Award Criteria
161
Laporan Tahunan 2015 | Annual Report
Aset Lancar
Secara umum, aset lancar merupakan komponen aset yang memiliki manfaat kurang dari 1 satu tahun dengan
memiliki tingkat likuiditas yang tinggi.
Jumlah aset lancar meningkat 34.97 menjadi USD210,748,836 dibandingkan tahun 2014 sebesar
USD156,145,114. Peningkatan jumlah aset lancar tersebut terutama disebabkan oleh meningkatnya piutang usaha
kepada pihak berelasi dan pihak ketiga, tagihan bruto kepada pelanggan dan persediaan, seiring meningkatnya
pendapatan usaha Perusahaan.
Currents Assets
Generally, current assets is one component of the Company’s assets having value less than 1 one year with
a high liquidity.
Total current assets increased by 34.97 amounting to USD 210.748.836 compared to that in 2014 with the
comprehensive proit USD 156.145.114. This increase was mainly due to an increase in amount of trade account
receavable to related parties and third parties, gross receivable from customers and inventories, in a row of an
increase in company operating revenues.
Jumlah Aset Lancar tahun 2015 meningkat 34.97.
Total assets in 2015 increased by 34.97
Graik Aset Tahun 2011-2015 USD Chart of Assets in 2011-2015
34.97
151,409,684 212,239,258
179,673,245 256,151,427
312,994,597
2011 2013
2012 2014
2015
Analisis Kinerja Keuangan
Analysis of Financial Performance KILAS KINERJA
Performance Highlights
PEMEGANG SAHAM DAN PEMANGKU KEPENTINGAN
Report to Shareholders and Stakeholders
Company Proi le
Business Suport Review
MANAJEMEN
Management Discussion and Analysis
162
Laporan Tahunan 2015 | Annual Report
Tabel Aset Lancar Tahun 2011-2015 USD Tabel Aset Lancar Tahun 2011-2015 USD
Grai k Aset Lancar Tahun 2011-2015 USD Chart of Current Assets in 2011-2015 USD
Uraian
In Detail
2011 2012
2013 2014
NaikTurun
Change in
2015
Kas dan Setara Kas Cash and cash
equivalents 6,784,650
13,331,377 17,330,140
20,368,358 24.98
25,457,040 Kas dibatasi
penggunaannya Restricted cash
572,624 79,993
142,165 479,072
59.22 195,366
Piutang Usaha Trade account
receivable 32,448,133
44,686,329 36,690,333
36,837,964 36.27
50,200,745 Tagihan bruto
kepada pelanggan Gross receivable
from customers 25,333,906
33,941,716 27,334,787
29,875,612 69.19
50,546,412 Piutang sewa
pembiayaan Finance release
receivable -
- -
1,015,372 7.49
939,319 Persediaan - bersih
Inventories 50,292,311
45,257,712 56,345,432
59,433,992 15.43
68,602,281 Pajak dibayar
dimuka Prepaid taxes
- -
- -
- 1,787,380
Uang muka dan biaya dibayar
dimuka Advancec and
prepaid advances 11,325,225
13,379,948 3,765,538
8,134,744 60.06
13,020,293
Jumlah Aset Lancar
Total current assets
126,756,849 150,677,075
141,608,395 156,145,114