Consolidated statement of profit or loss and other comprehensive income for the year ended May 31, 2023
In € thousands | Note | 2022/2023 | 2021/2022 | ||||||
Revenue | 2.2 | 1,359,495 | 1,269,587 | ||||||
Other operating income | 2.3 | 1,001 | 1,234 | ||||||
Total operating income | 1,360,496 | 1,270,821 | |||||||
Costs of subcontracted work and other external costs | 2.4 | 293,270 | 254,663 | ||||||
Salaries and social security charges | 2.5 | 697,200 | 621,891 | ||||||
Amortisation of intangible assets and depreciation of property, plant and equipment | 4.6 | 47,786 | 48,673 | ||||||
Impairments of intangible assets and property, plant and equipment | 4.6 | 1,160 | 0 | ||||||
Other operating expenses | 2.6 | 145,336 | 133,502 | ||||||
Total operating expenses | 1,184,752 | 1,058,729 | |||||||
Operating result | 175,744 | 212,092 | |||||||
Financial income | 5.3 | 119 | 606 | ||||||
Financial expenses | 5.3 | (11,213) | (11,130) | ||||||
Share of result from participating interests | 143 | 0 | |||||||
Result before taxation and management fee | 164,793 | 201,568 | |||||||
Management fee and compensation members of Coöperatief Deloitte U.A. | 2.8 | (156,293) | (192,414) | ||||||
Result before taxation and after management fee | 8,500 | 9,154 | |||||||
Taxation on result of activities | 7.1 | (7,205) | (7,441) | ||||||
Profit for the year | 1,295 | 1,713 | |||||||
Item that may be reclassified subsequently to profit or loss | |||||||||
Reclassification adjustment cash flow hedge reserve | 0 | 2,282 | |||||||
Foreign exchange differences on translation of foreign operations | (10) | (205) | |||||||
Net income tax related to adjustment cash flow hedge reserve | 0 | (578) | |||||||
Items that may not be reclassified subsequently to profit or loss | |||||||||
Movement in net fair value on investments in equity instruments classified as at Fair Value Through OCI | (471) | 0 | |||||||
Total other comprehensive income, net of income tax | (481) | 1,499 | |||||||
Total comprehensive income for the year | 814 | 3,212 |