b'GROUPE PROMUTUEL FDRATION DE SOCITS MUTUELLES DASSURANCE GNRALECONSOLIDATED STATEMENT OF FINANCIAL POSITIONAs at December 31, 20242024 2023$ $(in thousands of Canadian dollars)ASSETSCurrent assetsCash and cash equivalents 11,987 1,643Accounts receivable 13,326 25,314Contract assets 272 641Prepaid expenses 17,812 13,748Income taxes recoverable 254 2,59843,651 43,944Tangible capital assets 25,186 10,111Intangible assets 1,308 2,257Right-of-use assets 38,739 40,535Assets related to Fonds de garantie 6,795 7,354Pension plan assets 2,973 -Total assets 118,652 104,201rt o Rep al u n n A 834 2 0 | 2'