Statement of profit or loss
Consolidated statement of profit or loss and other comprehensive income
Amounts in 1,000 euros | Notes | 2023 | 2022 | ||
Revenue from contracts with customers | 843,327 | 756,207 | |||
Other revenues | - | - | |||
Total revenues | 843,327 | 756,207 | |||
Cost of materials | 197,772 | 190,688 | |||
Costs of outsourced work and other external costs | 149,351 | 132,662 | |||
Employee benefits expense | 220,849 | 194,485 | |||
Social security contributions and pensions | 58,212 | 52,843 | |||
Other personnel costs | 21,282 | 14,887 | |||
Hiring from third parties | 47,847 | 39,025 | |||
Amortization of intangible fixed assets | 8,002 | 8,180 | |||
Depreciation of tangible fixed assets and right-of-use assets | 25,924 | 23,262 | |||
Other operating costs | 44,592 | 39,898 | |||
Impairment (loss) / reversal | - | - | |||
Operating costs | 773,832 | 695,930 | |||
Operating profit | 69,495 | 60,277 | |||
Finance income | - | - | |||
Finance expense | -2,269 | -1,515 | |||
Interest right of use assets | -728 | -751 | |||
Other non-operating gain / (loss) | - | - | |||
Share of profit of associates and joint ventures | -16 | -531 | |||
Net foreign exchange gain / (loss) | - | - | |||
Profit / loss before tax | 66,482 | 57,480 | |||
Income tax expense | -16,859 | -15,266 | |||
Profit / loss after tax | 49,623 | 42,214 | |||
Other comprehensive income | - | - | |||
Other comprehensive income that may be reclassified to profit or loss in subsequent periods | - | - | |||
Net gain/(loss) on cash flow hedges | - | - | |||
Income tax effect relating to the components of OCI | - | - | |||
Other comprehensive income/(loss) for the year, net of tax | - | - | |||
Total realized and unrealized profit / loss of the year net of taks | 49,623 | 42,214 | |||
Profit attributable to: | |||||
The owners of the parent | 49,623 | 42,214 | |||
Non-controlling interests group companies | -96 | -185 | |||
49,527 | 42,029 |
The accompanying notes are an integral part of these consolidated financial statements.