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 38
View this content as a flipbook by clicking here.