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Annual Report 2016

Note

  As at 31.12.2016 As at 31.12.2015
Cash in hand 590 543
Cash at bank in PLN 174 054 186 064
Cash at bank in foreign currencies (translated into PLN) 285 440 112 387
Bank deposits - up to 3 months 179 001 452 637
Bank deposit - other 2 588 1 513
Other 38 -
  641 711 753 144
Cash and cash equivalents in the statement of financial position 641 711 753 144
Cash and cash equivalents in the statement of cash flows 641 711 753 144

As at 31 December 2016, restricted cash amounted to PLN 4 024 thousand (31 December 2015: PLN 5 506 thousand).

Restricted cash consists of the funds deposited in the interest-bearing bank account to secure the realisation of open letters of credit and funds restricted in the bank account.



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