Integrated
Report 2022

26. Trade and other receivables

31.12.2022 31.12.2021
Gross receivables: 900,856 840,962
Trade receivables 847,310 732,344
Deposits on account of transactions hedging the aluminium price 6,182 56
Receivables from employees 367 191
Security for customs receivables 6,638 78
Other 5,723 5,543
Total gross financial receivables (under IFRS 7) 862,220 738,212
Public law receivables (except for income tax) 15,019 33,675
Prepayments (trade-related) for suppliers 10,077 61,991
Prepaid expenses 9,540 7,084
Total gross non-financial receivables 34,636 102,750
Write-down of receivables: (48,583) (51,457)
Trade receivables (46,944) (50,066)
Prepayments (trade-related) for suppliers (393) 0
Other (1,246) (1,391)
Net receivables: 852,273 789,505
Trade receivables 800,366 682,278
Deposits on account of transactions hedging the aluminium price 6,182 56
Receivables from employees 367 191
Security for customs receivables 6,638 78
Other 4,477 5,543
Total net financial receivables (under IFRS 7) 818,030 686,755
Public law receivables (except for income tax) 15,019 33,675
Prepayments (trade-related) for suppliers 9,684 61,991
Prepaid expenses 9,540 7,084
Total net non-financial receivables 34,243 102,750

 

The conditions of related-party transactions are presented in note 35.2 of the supplementary information and explanatory notes.

Trade receivables do not bear interest and usually have 14 to 120 days maturity.

The Group has implemented an appropriate policy related to sales only to verified customers, and applies receivables insurance and other forms of security. Consequently, according to the management’s opinion, there is no additional credit risk exceeding the level established by the write-down of the Group uncollectible receivables.

Changes in the write-downs of trade receivables:

2022 2021
At the beginning of the period 51,457 70,372
Recognition 340 270
Utilisation (3,214) (19,185)
At the end of the period 48,583 51,457

Below presented is the analysis of trade receivables which were overdue, but were not deemed impaired.

Value of receivables (ageing structure) 31.12.2022 31.12.2021
Gross receivables 900,856 840,962
Not overdue 789,345 748,215
Overdue:
up to 3 months 67,471 39,954
3 to 6 months 0 1,843
6 to 12 months 0 1,237
over 12 months 44,040 49,713
Write-down of receivables 48,583 51,457
Not overdue 2,199 1,013
Overdue:
up to 3 months 2,344 131
3 to 6 months 0 350
6 to 12 months 0 374
over 12 months 44,040 49,589
Net receivables 852,273 789,505
Not overdue 787,146 747,202
Overdue:
up to 3 months 65,127 39,823
3 to 6 months 0 1,493
6 to 12 months 0 863
over 12 months 0 124

Overdue receivables not covered with write-downs are insured or subject to other securities and, therefore, the Group expects their realisation. In the Group’s opinion, the credit quality of the receivables, which are overdue but not covered by the write-downs described above is good.