Notes for P&L

All amounts in SEKm unless otherwise stated

Note 31 Cash flow statement


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  Group Parent company
Adjustment for items not included in cash flow 2023 2022 2023 2022
Depreciation and amortisation 919 723 0 0
Gain/loss on sale of operations and non-current assets -3 -2
Change in pension liability -1 -4
Change in other provisions and accrued items -5 5
Change in fair value contingent consideration -170 -106
Financial income -45 -9 -486 -135
Finance costs 291 215 295 340
Other -15 -34 0 68
Total 971 789 -191 273

The following adjustments were made as a result of the value of assets and liabilities in companies acquired during the year, together with adjustments such as contingent considerations paid for acquisitions made in previous years:

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  2023 2022
Non-current assets 5 1,010
Inventories 1 274
Receivables 2 457
Cash and cash equivalents 1 200
Total 9 1,941
Interest-bearing liabilities and provisions - -
Non-interest-bearing liabilities and provisions 4 1,157
Total 4 1,157
Consideration paid -6 -975
Cash and cash equivalents in acquired companies 1 200
Effect on the Group’s cash and cash equivalents -5 -775

All businesses acquired during the year were consolidated in the accounts using the acquisition method.
Cash and cash equivalents in the cash flow statement consist of cash and bank balances.The same definition applied to determine cash and cash equivalents in the balance sheet was applied in the cash flow statement.

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Reconciliation of debts arising from financing activities  
      Changes that do not affect cash flow  
Group Opening
balance
2023-01-01
Cash flow Acquisition of subsi-
diaries
Exchange rate changes Changes in fair value Leases Closing
balance
2023-12-31
Bank overdraft facility 596 -225 371
Liabilities to credit institutions 4,374 -34 -12 4,327
Other interest-bearing liabilities 266 -16 5 -15 -153 87
Lease liability 351 -119 2 271 505
Total 5,587 -395 5 -13 -164 271 5,291
               
Parent Company Opening
balance
2023-01-01
Cash flow Exchange rate changes Closing
balance
2023-12-31
Bank overdraft facility   596 -240 - 356
Current liabilities to credit institutions   4,247 1 -13 4,235
Total   4,843 -239 -13 4,591

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Reconciliation of debts arising from financing activities  
      Changes that do not affect cash flow  
Group Opening
balance
2022-01-01
Cash flow Acquisition of subsi-
diaries
Exchange rate changes Changes in fair value Leases Closing
balance
2022-12-31
Bank overdraft facility 455 142 596
Liabilities to credit institutions 2,954 973 125 323 4,374
Other interest-bearing liabilities 349 -31 21 19 -92 266
Lease liability 345 -153 24 135 351
Total 4,102 930 170 342 -92 135 5,587
               
Parent Company Opening
balance
2022-01-01
Cash flow Exchange rate changes Closing
balance
2022-12-31
Bank overdraft facility   452 144 596
Current liabilities to credit institutions   2,670 1,268 309 4,247
Total   3,122 1,412 309 4,843
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