185 F INANC IAL Statements Sect ion 05 Annual Report 2022 NOTES TO THE F INANC I AL STATEMENTS For the year ended 31 December 2022 7. INTEREST INCOME Group 2022 RM’000 2021 RM’000 Interest income: - Fixed deposits 3,440 2,968 - Finance income from operating financial assets 57,059 64,373 - Islamic Money Market fund 443 396 - Contract assets 338 46 - Others 1,139 117 62,419 67,900 8. OTHER INCOME Included in other income are: Group Company 2022 RM’000 2021 RM’000 2022 RM’000 2021 RM’000 Unrealised foreign exchange gain 1,303 3,168 - - Realised foreign exchange gain 31 368 - - Compensation for expenses and damages claims - 825 - - Gain on remeasurement of CULS - 1,004 - - Gain on disposal of property, plant and equipment 305 50 - - Rental income 1,855 1,585 - - Sales of scrap item 1,973 2,121 - - Liquidated ascertained damages claim 636 810 - - Reversal of allowance for expected credit losses (Note 24) - Trade receivables 5,265 764 - - - Other receivables 136 38 - - Reversal of impairment on contract asset (Note 25) 511 305 - - Reimbursement of expenses receivable from Johor State Government (Note 24(c)) 45,405 22,176 - - Gain on bargain purchase (Note 20(d)) 3,350 - - - Government grant (Note 24(d)) 142,285 - - - Insurance compensation for loss in fire 1,784 - - - Gain on lease modification (Note 17) 353 516 - - Others 2,396 1,757 4 - 207,588 35,487 4 -
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