b'GROUPE PROMUTUEL FDRATION DE SOCITS MUTUELLES DASSURANCE GNRALECONSOLIDATED STATEMENT OF FINANCIAL POSITIONAs at December 31, 20232023 2022$ $(in thousands of Canadian dollars)ASSETSCurrent assetsCash and cash equivalents 1,643 1,308Accounts receivable 25,314 22,559Contract assets 641 550Prepaid expenses 13,748 9,915Income taxes recoverable 2,598 3,89643,944 38,228Deferred tax - 441Tangible assets 10,111 6,988Intangible assets 2,257 3,282Right-of-use assets 40,535 15,138Assets related to Fonds de garantie 7,354 7,005Total assets 104,201 71,082rt o Rep l a u n n A 833 2 02 |'