EUR
2022
2021
2. Sales by region Finland
65,103,945.73 785,329,475.63 221,181,415.75 501,092,341.29 1,572,707,178.40
93,016,225.27 620,765,028.16 258,084,428.42 417,137,893.36 1,389,003,575.21
Other EU-countries
Other European countries
Other countries
Total
3. Exceptional items Other operating income
Oy Hangö Stevedoring Ab Proceeds from liquidation of shares
22,955,409.24 6,533,675.05 4,892,703.24 632,637.88
0.00
Proceeds of selling land
7,007,417.18
Encore Ympäristöpalvelut Oy Proceeds of liquidation of shares
0.00 0.00 0.00
Merger profit
Environmental reservation
93,187.59
35,107,613.00
7,007,417.18
Exceptional items in income statement
35,107,613.00
7,007,417.18
4. Other operating income Rental income
1,053,865.71
1,051,500.39
Service revenue Gains on disposal
16,868,639.19 62,127,817.78 3,214,154.64 219,922.43 8,163,678.81 91,648,078.56
14,641,881.77 21,367,326.91 787,581.19 255,568.97 2,370,681.92 40,474,541.15
Government grants and allowances
Scrap and waste sale
Others
5. Operating expenses External services Distribution costs
178,928,268.89 76,813,689.66 255,741,958.55
149,817,832.97 70,188,887.08 220,006,720.05
Other external services
Employee costs Wages and salaries for working hours
64,823,548.60 -495,369.86
62,526,946.89 2,004,301.44
Osakeperusteiset maksut Social security expenses Pension expenses
15,531,896.13 26,500,573.28 106,360,648.15
13,676,031.03 25,529,894.50 103,737,173.86
Other social security expenses
Share-based fee arrangement is concerning 31.12.2022 19 persons of mother entity Metsä Board Oyj. From earning period 2020–2022 it is possible to earn total 469,498 (brut- to), from earning period 2021–2023 total 344,109 (brutto)and from earning period 2022–2024 total 351,398 (brutto) Metsä Board B-series shares.
Additional information of salaries, rewards and pension plans to management are presented in Group’s Note 3.2. Additional information of share-based payments are presented in Group’s Note 3.3.
The average number of personnel during the financial period in the parent company
1,222
1,219
Other operating expenses Rental and other property costs
13,469,651.58 73,671,626.62
12,758,855.97 64,063,910.41
Purchases of services
Losses on disposal of non-current assets
258,692.33
109,511.25
Other expenses Voluntary social costs
4,080,223.14 8,938,239.16 897,984.13 3,283,249.15 1,858,792.58 6,139,173.81 112,597,632.50
4,686,272.21 9,688,348.45 230,641.07 2,406,028.29 2,252,894.58 4,856,843.32 101,053,305.55
Fixed energy costs Traveling expenses
Insurances
Advertising and marketing expenses
Others
Fees of principal auditor Audit fees
221,447.49 49,612.51 271,060.00
196,064.00
Auditor's opinions
4,930.00
200,994.00
The principal auditor is KPMG Oy Ab.
145
Parent company financial statements | METSÄ BOARD ANNUAL AND SUSTAINABILITY REPORT 2022
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