b'GROUPE PROMUTUEL FDRATION DE SOCITS MUTUELLES DASSURANCE GNRALECONSOLIDATED STATEMENT OF FINANCIAL POSITION As at December 31, 20222022 2021$ $(in thousands of Canadian dollars)ASSETSCurrent assetsCash and cash equivalents 1,308 13,693Accounts receivable 22,559 13,486Contract assets 550 345Prepaid expenses 9,915 8,749Income Taxes Recoverable 3,896 1,77938,228 38,052Deferred tax 441 1,322Tangible assets 6,988 6,597Intangible assets 3,282 12,475Right-of-use assets 15,138 16,514Assets related to Fonds de garantie 7,005 7,345Total assets 71,082 82,3058 4 2 A nnua l 2 Re or t | p 20'