Proactis SA announcement July 21
30 Novembro 2021 - 2:05PM
Proactis SA announcement July 21
Proactis SA
announces
results for the
year ended 31
July 2021
Paris –
November
30th,
2021
– Proactis SA (Euronext: PROAC), a leading
provider of comprehensive spend management and business process
collaboration solutions, today announced financial information for
the year ended 31 July 2021, in accordance with the “European
Transparency Obligations Directive” financial disclosure
requirements.
Year
ended 31 July
2021 –
Key Results:
The Proactis SA Board of Directors approved the
accounts for the year ended 31 July 2021 on 24 November 2021, which
have been formally certified by the Auditors.
€ Million |
|
Year ended 31 July 2021 |
|
Year ended 31 July 2020 |
|
|
Revenue |
|
11.2 |
|
12.4 |
|
|
EBITDA (*) |
|
3.6 |
|
2.7 |
|
|
EBITDA as a % of revenue |
|
32% |
|
22% |
Net Earnings |
|
(0.5) |
|
(9.8) |
|
|
Operating Cashflow |
|
1.8 |
|
3.4 |
|
|
Cash |
|
1.0 |
|
1.6 |
|
|
(*)EBITDA:
Operating result before depreciation and non recurring items. |
Revenues
Over the year ended 31 July 2021, revenue
declined by 10% compared to the year ended 31 July 2020. This is
mainly due to the non-renewal of 3rd party solution contracts at
the end of contract, or non-renewal of contract in specific
non-core product areas.
Goodwill Impairment
Based on the value in use calculations
established for the Proactis SA Group, it has been necessary to
recognise an impairment. The value in use calculation reflects
pipeline conversion delay and the slowdown in volume-related
activities during the period under review. The recoverable amount
was estimated on the basis of their value in use of €5.4M. An
impairment of €2.0M has therefore been recorded.
Profitability
The Company recorded an EBITDA for the year
ended 31 July 2021 of €3.6M (€2.7M for the year ended 2020).
Net Earnings were €(0.5)M versus year ended 31
July 2020: €(9.8)M.
Cashflow
In the year ended July 2021, the Group‘s
operating cash-flow was €1.8M. Capital investment remained strong,
at €2.0M, and was focused on the Company’s strategic solution
suite; The Business Network. The Group had positive cash balances
of €1.0M at 31 July 2021 (31 July 2020: €1.6M).
About Proactis
SA (https://www.proactis.com/proactis-sa), a
Proactis Company
Proactis SA connects companies by providing
business spend management and collaborative business process
automation solutions for both goods and services, through The
Business Network. Our solutions integrate with any ERP or
procurement system, providing our customers with an easy-to-use
solution which drives adoption, compliance and savings.
Significant customers include BASF, Michelin and
Henkel
Proactis SA has major operations in Paris, Bonn,
USA and Manila.
Listed in Compartment C on the Euronext Paris
Eurolist.
ISIN: FR0004052561, Euronext:
PROAC, Reuters: HBWO.LN,
Bloomberg: HBW.FP
Contacts
Tel: +33 (0)1 53 25 55 00E-mail:
investorContact@proactis.com
- Proactis SA announcement July 21
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