Sasbadi Annual Report 2018

SASBADI HOLDINGS BERHAD (1022660-T) FINANCIAL STATEMENTS 106 9. Trade and other receivables Group Company Note 2018 2017 2018 2017 RM’000 RM’000 RM’000 RM’000 Current Trade Trade receivables 51,510 48,650 - - Less: Impairment losses (3,590) (1,697) - - 47,920 46,953 - - Non-trade Amount due from subsidiaries 9.1 - - 16,025 15,783 Other receivables and deposits 8,112 7,169 3 2 8,112 7,169 16,028 15,785 56,032 54,122 16,028 15,785 9.1 Amount due from subsidiaries Amount due from subsidiaries is non-trade in nature, unsecured, interest free and repayable on demand. 10. Cash and cash equivalents Group Company Note 2018 2017 2018 2017 RM’000 RM’000 RM’000 RM’000 Cash and bank balances 5,445 9,538 22 97 Deposits placed with licensed banks 10.1 719 708 - - 6,164 10,246 22 97 10.1 Pledged deposits Included in the deposits placed with a licensed bank of the Group is RM606,000 (2017: RM648,000) pledged for bank facilities granted to certain subsidiaries.

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