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Super Turtle Public Company Limited 29Statements of Cash Flows (continued)(Unit: Million Baht)For the year ended31 March 2025For the three-month ended31 March 2024For the year ended31 December 2023Operating assets (increase) decreaseTrade and other current receivables (57.55) 9.91 30.27Current contract assets 17.71 (28.26) 11.24Inventories (3.95) (6.12) (36.34)Other current assets (6.68) (14.59) (14.77)Other non-current assets (0.49) (0.30) 0.45Operting liabilities increase (decrease)Trade and other current payable 15.85 15.29 49.07Unearned revenue (2.97) (2.54) (2.38)Deposits received from rental spaces 1.07 4.35 15.89Other current liabilities 0.72 (1.43) (1.20)Long-term employee benefits paid (0.59) - (3.33)Other non-current liabilities (0.01) (0.03) (0.04)Cash flows used in operating activities (264.45) (90.04) (200.50)Cash paid for interest expenses (0.84) (0.19) (0.94)Cash paid for corporate income tax (10.30) (2.50) (9.80)Cash received from corporate income tax 9.64 - 0.27Net cash flows used in operating activities (265.95) (92.73) (210.97)Introduction Nature of Business Business Performance Corporate Information Corporate Governance Financial Report Attachment