| 31.12.2014 | 31.12.2013 |
Current trade and other receivables |
|
|
|
|
|
Trade receivables |
1 183 206 |
1 020 209 |
Tax receivables (excluding income tax) and other similar charges |
97 465 |
55 838 |
Other receivables |
258 816 |
133 399 |
Advance payments |
97 068 |
7 316 |
Receivables due to unbilled sales |
247 431 |
251 223 |
Prepaid property insurance |
2 581 |
3 230 |
|
1 886 567 |
1 471 215 |
Less: impairment loss on receivables |
(122 439) |
(120 588) |
Net current trade and other receivables |
1 764 128 |
1 350 627 |
Non-current trade and other receivables | 31.12.2014 | 31.12.2013 |
|
|
|
Non-current trade receivables |
13 489 |
- |
Other receivables |
7 250 |
8 106 |
|
|
|
Net non-current trade and other receivables |
20 739 |
8 106 |
Trade and other receivables allowance:
| 31.12.2014 | 31.12.2013 |
Opening balance of receivables allowance |
120 588 |
174 174 |
Addition |
29 249 |
28 031 |
Release |
(16 928) |
(41 143) |
Utilization |
(10 470) |
(40 474) |
Closing balance of receivables allowance |
122 439 |
120 588 |
Ageing structure of trade and other receivables:
| 31.12.2014 |
| Nominal value | Allowance (-) | Carrying amount |
Current |
1 483 985 |
-89 |
1 483 896 |
Overdue |
423 321 |
(122 350) |
300 971 |
0-30 days |
163 069 |
-358 |
162 711 |
31- 90 days |
40 334 |
(1 007) |
39 327 |
91-180 days |
24 628 |
(2 288) |
22 340 |
over 180 days |
195 290 |
(118 697) |
76 593 |
TOTAL |
1 907 306 |
(122 439) |
1 784 867 |
| 31.12.2013 |
| Nominal value | Allowance (-) | Carrying amount |
Current |
1 059 107 |
(386) |
1 058 721 |
Overdue |
420 214 |
(120 202) |
300 012 |
0-30 days |
148 537 |
(27) |
148 510 |
31- 90 days |
51 359 |
(993) |
50 366 |
91-180 days |
18 565 |
(2 417) |
16 148 |
over 180 days |
201 753 |
(116 765) |
84 988 |
TOTAL |
1 479 321 |
(120 588) |
1 358 733 |