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Procaps Group S.A. and subsidiaries (The Group) Unaudited Condensed Consolidated Interim Statement of Financial Position As of

Key Takeaway: Procaps Group S.A. and subsidiaries (The Group) Unaudited Condensed Consolidated Interim Statement of Financial Position As of September 30, 2021 and December 31, 2020 (In thousands of United States Dollars, unless As of September 30, 2021 As of December 31, 2020 Assets

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Procaps Group S.A. and subsidiaries (The Group)
Unaudited Condensed Consolidated Interim Statement
of Financial Position
As of September 30, 2021 and December 31, 2020
(In thousands of United States Dollars, unless
As of September 30, 2021 As of December 31, 2020
Assets
Non-current assets
Property, plant and equipment, net $ 71,259 70,335
Right-of-use assets 36,645 43,195
Goodwill 6,851 6,863
Intangible assets 24,754 27,583
Investments in joint ventures 2,478 2,460
Other financial assets 440 761
Deferred tax assets 6,675 21,769
Other assets 2,778 1,870
Total non-current assets 151,880 174,836
Cash 100,192 4,229
Trade and other receivables, net 110,023 96,493
Inventories, net 76,981 64,284
Amounts owed by related parties 3,398 2,562
Current tax assets 21,314 16,774
Other current assets 960 360
Total current assets 312,868 184,702
Total assets $ 464,748 359,538
Liabilities and stockholders' equity (deficit)
Total equity (deficit) $ 36,305 (254,678 )
Borrowings 101,932 339,738
Amounts owed to related parties 11,190 12,163
Warrant liability 33,950 -
Deferred tax liabilities 1,451 18,890
Other liabilities 3,173 3,797
Total non-current liabilities 151,696 374,588
Borrowings 116,713 102,621
Trade and other payables, net 132,462 106,275
Amounts owed to related parties 5,703 8,459
Current tax liabilities 14,249 9,393
Provisions 1,663 1,829
Other liabilities 5,957 11,051
Total current liabilities 276,747 239,628
Total liabilities and stockholders' equity (deficit) $ 464,748 359,538
Procaps Group S.A. and subsidiaries (The Group)
Unaudited Condensed Consolidated Interim Statement
For the three and nine months ended September
(In thousands of United States Dollars, unless
For the three months ended September 30
2021 2020
Revenue $ 106,829 79,313
Cost of sales (44,577 ) (31,525 )
Gross profit 62,252 47,788
Sales and marketing expenses (22,841 ) (19,234 )
Administrative expenses (21,011 ) (14,370 )
Finance expenses (50,651 ) (14,236 )
Other expenses (1,107 ) (1,668 )
Income (loss) before tax $ (33,358 ) (1,720 )
Income tax expense (3,566 ) 751
Loss for the period $ (36,924 ) (969 )
For the nine months ended September 30
2021 2020
Revenue $ 283,206 213,320
Cost of sales (123,152 ) (90,133 )
Gross profit 160,054 123,187
Sales and marketing expenses (61,191 ) (53,352 )
Administrative expenses (64,670 ) (43,857 )
Finance expenses (79,242 ) (39,763 )
Other expenses (3,179 ) (5,406 )
Income (loss) before tax $ (48,228 ) (19,191 )
Income tax expense (6,342 ) (701 )
Loss for the period $ (54,570 ) (19,892 )
Procaps Group S.A. and subsidiaries (The Group)
Unaudited Condensed Consolidated Interim Statement
For the nine months ended September 30, 2021
(In thousands of United States Dollars, unless
For the nine months ended September 30
2021 2020
Operating activities
Loss for the period $ (54,570 ) $ (19,892 )
Adjustments to reconcile net loss with net cash from operating activities:
Depreciation of property, plant and equipment 4,184 4,062
Depreciation of right-of-use 3,281 3,098
Amortization of intangibles 5,892 4,705
Income tax expense 6,342 701
Finance expenses 79,242 39,763
Share of result of joint ventures (371 ) (416 )
Net (gain)/loss on sale of property, plant and equipment 710 -
Inventory provision 3,263 3,538
Provision for bad debt 741 (2,087 )
Provisions 1,182 1,599
Cash flow from operating activities before changes in working capital $ 49,896 $ 35,071
(Increase)/decrease in operating assets and liabilities:
Trade and other receivables (14,271 ) 20,526
Amounts owed by related parties (835 ) (7,038 )
Inventories (15,523 ) 828
Current tax assets (4,540 ) (5,295 )
Other current assets (563 ) (47 )
Trade and other payables (10,975 ) (12,772 )
Amounts owed to related parties (252 ) 9,148
Current tax liabilities (1,120 ) (3,542 )
Other liabilities 13,710 (4,534 )
Provisions (1,182 ) (2,110 )
Other financial assets 321 -
Other assets (946 ) (4,027 )
Cash generated from operations $ 13,720 $ 26,208
Dividends received 300 -
Income tax paid (2,711 ) 3,291
Cash flow from operating activities $ 11,309 $ 29,499
Investing activities
Acquisition of property, plant and equipment (10,933 ) (5,641 )
Proceeds from sale of property, plant and equipment 26 -
Acquisition of intangibles (5,898 ) (5,595 )
Cash flow used in investing activities $ (16,805 ) $ (11,236 )
Financing activities
Proceeds from borrowings 122,042 89,950
Payments on borrowings (80,101 ) (75,209 )
Payments to related parties (3,577 ) (4,836 )
Interest paid on borrowings (9,527 ) (7,997 )
Payment of lease liabilities (4,354 ) (3,511 )
Cash obtained from acquisition 91,585 -
Cash flow generated from (used in) financing activities $ 116,068 $ (1,603 )
Net increase/(decrease) in cash 110,572 16,660
Cash less bank overdrafts at beginning of the period 4,229 2,042
Effect of exchange rate fluctuations (14,609 ) (12,229 )
Cash less bank overdrafts at end of the period $ 100,192 $ 6,473
Non-cash financing and investing activities (1) $ 948 $ 6,418
Procaps Group S.A. and subsidiaries (The Group)
Unaudited Condensed Consolidated Interim Statement
of Changes in Equity
For the nine months ended September 30, 2021
(In thousands of United States Dollars, unless
Attributable to equity holders of the Group
Issued Capital Share premium Reserves 1 Accumulated deficit Other Comprehensive Income Total Non- controlling interest Total equity (deficit)
Balance as of December 31, 2019 2,001 54,412 28,681 (305,634 ) (23,753 ) (244,293 ) 346 (243,947 )
Loss for the period - - - (20,620 ) - (20,620 ) 728 (19,892 )
Transfer reserves - - 11,177 (11,177 ) - - - -
Other comprehensive income - - - - 11,600 11,600 - 11,600
Non-controlling interest - - - 728 - 728 - 728
Balance as of September 30, 2020 $ 2,001 $ 54,412 $ 39,858 $ (336,703 ) $ (12,153 ) $ (252,585 ) $ 1,074 $ (251,511 )
Balance as of December 31, 2020 2,001 54,412 39,897 (327,344 ) (24,421 ) (255,455 ) 778 (254,677 )
Loss for the period - - - (54,947 ) - (54,947 ) 377 (54,570 )
Transfer reserves - - (8 ) 8 - - - -
Other comprehensive income - - - - (3,894 ) (3,894 ) - (3,894 )
Non-controlling interest - - 377 - 377 - 377
Share redemption and issuance in business combination (873 ) 201,304 148,638 - 349,069 - 349,069
Balance as of September 30, 2021 $ 1,128 $ 255,716 $ 39,889 $ (233,268 ) $ (28,315 ) $ 35,150 $ 1,155 $ 36,305
Last updated: Dec 10, 2021