Consolidated Statement of Financial Position
As at December 31, 2025
2025 2024
(in thousands of Canadian dollars)
$
$
ASSETS
Current assets
Cash
3,745
11,987
Accounts receivable
33,594
13,598
Prepaid expenses
17,829
17,812
Current tax assets
1,152
254
56,320
43,651
Property, plant and equipment
22,406
25,186
Intangible assets
1,021
1,308
Right-of-use assets
35,826
38,739
Assets related to Fonds de garantie
6,819
6,795
Pension plan assets
8,091
2,973
Total assets
130,483
118,652
GROUPE PROMUTUEL FÉDÉRATION DE SOCIÉTÉS MUTUELLES D’ASSURANCE GÉNÉRALE
2025 – ANNUAL REPORT  
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