236 F INANC IAL Statements 05 Sect ion Ranhi ll Ut i l i t i es Berhad NOTES TO THE F INANC I AL STATEMENTS For the year ended 31 December 2022 33. TRADE AND OTHER PAYABLES Group Company Note 2022 RM’000 2021 RM’000 2022 RM’000 2021 RM’000 Current Trade payables Third parties (a) 165,948 137,605 - - Amount due to Badan Kawalsedia Air Johor (b) 9,850 6,357 - - Amount due to PAAB (c) 17,840 18,769 - - Amounts due to related parties (d) 7,066 11,894 - - Amount due to associates (d) 1,149 - - - Retention sum on contracts (e) 4,681 3,607 - - 206,534 178,232 - - Non-trade payables Other payables 189,583 102,248 1,013 1,016 Dividend payable 25,443 4,432 6,443 4,307 Retention sum on contracts (e) 11,720 11,296 - - Amounts due to related parties (d) 2,352 6,602 - - Amounts due to subsidiaries (d) - - 12,776 7,369 Amount due to associates (d) 3,869 6,089 - - Deposits received (f) - 4,386 - - 232,967 135,053 20,232 12,692 Total current payables 439,501 313,285 20,232 12,692
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