Below are the financial statements of SATS Ltd, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
| All figures in millions of SGD | 2025 2024-04-01 - 2025-03-31 | 2024 2023-04-01 - 2024-03-31 |
|---|---|---|
| Continuing operations | — | — |
| Revenue | 5,821.1a | 5,149.6a |
| Expenditure | — | — |
| Staff costs | -3,161.7a | -2,939.3a |
| Cost of raw materials and supplies | -545.4a | -475.6a |
| Licence fees | -123.3a | -96.7a |
| Depreciation and amortisation charges | -560.5a | -536.4a |
| Company premise, utilities and maintenance | -353.4a | -336.3a |
| Subcontracting services | -248.6a | -205a |
| Other costs | -352.5a | -316.1a |
| Operating profit | 475.7a | 244.2a |
| Finance expense | -245.8a | -258.1a |
| Finance income | 14.6a | 21.4a |
| Share of results of associates/joint ventures, net of tax | 114.3a | 110a |
| Other non-operating gain/(loss), net | 0.9a | -1.2a |
| Profit before tax | 359.7a | 116.3a |
| Income tax expense | -98.9a | -55.8a |
| Profit from continuing operations | 260.8a | 60.5a |
| Discontinued operation | — | — |
| Profit from discontinued operation, net of tax | 0a | 3.2a |
| Profit for the year | 260.8a | 63.7a |
| Profit attributable to: | — | — |
| Owners of the Company | 243.8a | 56.4a |
| Non-controlling interests | 17a | 7.3a |
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