Infinite Convergence Solutions Inc. Company. Auditors Report and Financial Statements for the period ended 31st March 2010

Size: px
Start display at page:

Download "Infinite Convergence Solutions Inc. Company. Auditors Report and Financial Statements for the period ended 31st March 2010"

Transcription

1 Infinite Convergence Solutions Inc. Company Auditors Report and Financial Statements for the period ended 31st March

2 SURESH & CO., CHARTERED ACCOUNTANTS #43/61, Srinidhi I Floor, Ph: , /11 Surveyors Street, Basavanagudi Fax: Bangalore vivek@sureshandco.info AUDITORS REPORT TO THE BOARD OF DIRECTORS OF INFINITE CONVERGENCE SOLUTIONS INC We have audited the attached Balance Sheet of Infinite Convergence Solutions Inc, as at 31 st March,, the Profit and Loss Account and the Cash Flow Statement of the Company for the year ended on that date annexed thereto. These financial statements are the responsibility of the Company s management. Our responsibility is to express an opinion on these financial statements based on our audit. We have conducted our audit in accordance with the auditing standards generally accepted in India. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatements. An audit includes consideration and evaluation of internal controls over financial reporting as a basis for designing and conducting audit procedures that are appropriate in the circumstances and examining on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit includes assessing the accounting principles used and significant estimates made by the management, as well as evaluating the overall financial statements presentation. We believe that our audit provides a reasonable basis for our opinion. On the basis of such checks of the extracts of the books and vouchers made available and as we considered appropriate and also on the basis of information and explanations given to us, during the course of our audit, we state that, in our opinion, such financial statements present fairly, in all material respects, the financial position of Infinite Convergence Solutions Inc as at March 31 st,, the results of its operations for the period ended March 31 st, in conformity with accounting principles generally accepted in India. For Suresh & Co., Chartered Accountants, FRNo S (D S Vivek) Partner Membership No Place: Bangalore. Date: 6 th May,

3 INFINITE CONVERGENCE SOLUTIONS, INC BALANCE SHEET SCH USD INR (in '000) I. SOURCES OF FUNDS 1. Shareholders' Funds (a) Share Capital 1 5,000, ,700 (b) Reserves and Surplus 2 668,129 30,159 5,668, , Loan Funds (a) Unsecured Loans 3 6,905, , Deferred Tax Liability 420,449 18,979 TOTAL 12,994, ,556 II. APPLICATION OF FUNDS 1. Fixed Assets 4 (a) Gross Block 7,520, ,467 (b) Less : Depreciation (203,174) (9,171) (c) Net Block 7,317, ,296 (d) Product Development Cost 2,549, , Current Assets, Loans & Advances (a) Sundry Debtors 5 123,112 5,557 (b) Cash & Bank Balances 6 2,541, ,740 (c) Other Current Assets 7 1,886,907 85,175 (d) Loans & Advances 8 155,431 7,016 Total (A) 4,707, ,488 Less : Current Liabilities & Provisions (a) Current Liabilities 9 1,580,221 71,331 Total (B) 1,580,221 71,331 Net Current Assets [(A) - (B)] 3,127, ,157 TOTAL 12,994, ,556 0 Schedules referred to above and Notes to the accounts form a significant part of this Balance Sheet. 16 This is the balance sheet referred to our report of even date. For Suresh and Co. Chartered Accountants (FRN ) For Infinite Convergence Solutions Inc. (D.S. Vivek) Partner M.No Sanjay Govil Director

4 INFINITE CONVERGENCE SOLUTIONS, INC PROFIT AND LOSS ACCOUNT Particulars SCH for Period ended MAR 31, for Period ended MAR 31, USD INR (in '000) I INCOME Consulting and Project Revenue - 2,638, ,105 Other Income Total Income 2,638, ,113 II EXPENDITURE Employees Remuneration & Benefits ,764 35,791 Administrative & Other Expenses ,916 26,078 Interest & Financial Charges 13 41,968 1,990 Depreciation 4 203,174 9,171 Translation Adjustment - 2,945 Total Expenditure 1,549,821 75,975 PROFIT BEFORE TAX 1,088,578 49,138 Less: Provision for Taxation Current Tax - - Deferred Tax 420,449 18, ,449 18,979 NET PROFIT AFTER TAX 668,129 30,159 Balance carried to Balance Sheet 668,129 30,159 Schedules referred to above and Notes to the accounts form a significant part of this Profit and Loss Account. 16 This is the Profit and Loss Account referred to our report of even date. For Suresh and Co. Chartered Accountants (FRN ) For Infinite Convergence Solutions Inc. (D.S. Vivek) Partner M.No Sanjay Govil Director

5 INFINITE CONVERGENCE SOLUTIONS, INC. STATEMENT OF CASH FLOWS PARTICULARS A] CASH FLOWS FROM OPERATING ACTIVITIES for Period ended MAR 31, USD for Period ended MAR 31, INR (in '000) Net Income before Taxation and Extraordinary items 1,088,578 49,138 Add/(Less) : Adjustments for :- Depreciation and amortization 203,174 9,171 Interest 41,918 41,918 Interest on Deposits (173) (8) OPERATING PROFIT BEFORE WORKING CAPITAL CHANGES 1,333, ,219 Add/(Less) : Movements in working capital (Increase)/Decrease in Sundry Debtors (123,112) (5,557) (Increase)/Decrease in Loans & Advances (155,431) (7,016) (Increase)/Decrease in other Current assets (1,886,907) (85,175) Increase/(Decrease) in Current liabilities and provisions 1,580,221 71,331 Cash generated from operations 748,268 73,802 Less : Income Tax (paid)/refund - - NET CASH PROVIDED FROM / (USED IN) OPERATING ACTIVITIES A) 748,268 73,802 B] CASH FLOW FROM / (USED IN) INVESTING ACTIVITIES Purchase of property, plant and equipment (7,520,317) (339,467) Interest on Deposits Investment in Product Development (2,549,918) (115,103) NET CASH PROVIDED FROM / (USED IN ) INVESTING ACTIVITIES B) (10,070,062) (454,562) C] CASH FLOW FROM / (USED IN) FINANCING ACTIVITIES Secured Loans from Motorola 6,905, ,718 Interest (41,918) (41,918) Investment from Holding Co. 5,000, ,700 NET CASH PROVIDED FROM / (USED IN) FINANCING ACTIVITIES C) 11,863, ,500 D] NET INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS A] +B] +C] 2,541, ,740 Cash and Cash Equivalents at beginning of period - - Cash and Cash Equivalents at end of year/ period 2,541, , For Suresh and Co. For Infinite Convergence Solutions Inc. Chartered Accountants (FRN ) (D.S. Vivek) Partner M.No Sanjay Govil Director Place : Bangalore Place : New Delhi Date : May 6th Date : May 6th

6 INFINITE CONVERGENCE SOLUTIONS, INC. SCHEDULES FORMING PART OF THE ACCOUNTS PARTICULARS USD INR (in '000) SCHEDULE 1 : SHARE CAPITAL Authorised 5,000,000 Equity shares at USD 1.00 each. 5,000, ,700 Issued, Subscribed and Paid up 5,000,000 Equity shares of USD 1.00 each fully paid. 5,000, ,700 5,000, ,700 The above 5,000,000 Equity shares of USD 1.00 each fully paid up are held by M/s.Infinite Computer Solutions (India) Ltd., the holding Company. TOTAL 5,000, ,700 SCHEDULE 2 : RESERVES & SURPLUS Profit & Loss Account 668,129 30,159 TOTAL 668,129 30,159 SCHEDULE 3 : UNSECURED LOANS Equipment Lease Finance with Motorola, Inc 6,905, ,718 [During the year, company has acquired networking infrastructure equipment from Motorola on finance lease which is capitalized in books (as per AS 19). Term of the lease expires on Dec 31,2014 at which time title of the equipment will be transferred to company for USD 1.] TOTAL 6,905, ,718 SCHEDULE 5 : SUNDRY DEBTORS - Debts outstanding for a period exceeding six months Other debts 123,112 5,557 TOTAL 123,112 5,557

7 INFINITE CONVERGENCE SOLUTIONS, INC. SCHEDULES FORMING PART OF THE ACCOUNTS PARTICULARS USD INR (in '000) SCHEDULE 6 : CASH & BANK BALANCES Bank Balances - Others United Bank In Money Market A/c 2,500, ,857 (maximum amount standing to the credit at any time during the period USD 3.50 Million) In Free Business Checking A/c 41,704 1,883 (maximum amount standing to the credit at any time during the period USD 4.99 Million) TOTAL 2,541, ,740 SCHEDULE 7 : OTHER CURRENT ASSETS Other Receivables 1,886,907 85,175 TOTAL 1,886,907 85,175 SCHEDULE 8 : LOANS & ADVANCES (Unsecured, considered good unless otherwise stated) Advances recoverable in cash or in kind or for value to be received or pending adjustments 155,431 7,016 TOTAL 155,431 7,016 SCHEDULE 9 : CURRENT LIABILITIES Other Liabilities 1,580,221 71,331 TOTAL 1,580,221 71,331

8 INFINITE CONVERGENCE SOLUTIONS, INC. SCHEDULES FORMING PART OF THE ACCOUNTS PARTICULARS USD INR (in '000) SCHEDULE 10 : OTHER INCOME Interest Miscellaneous receipts 1 - TOTAL SCHEDULE 11 : EMPLOYEES REMUNERATION & BENEFITS Salaries, Wages and Bonus 619,809 29,391 Employee Welfare Expenses 134,954 6,400 TOTAL 754,764 35,791 SCHEDULE 12 : ADMINISTRATIVE & OTHER EXPENSES Payroll Expenses 1, Rent and Hire Charges 83,082 3,940 Insurance 26,557 1,259 Communication Expenses 42,950 2,037 Legal and Professional Charges 236,713 11,225 Contractual Services / Manpower Outside Services 156,106 7,403 Auditors' Remuneration 1, Travelling & Conveyance 1, Printing & Stationery Rates & Taxes TOTAL 549,916 26,078 SCHEDULE 13 : INTEREST & FINANCE CHARGES Bank Charges/ Other charges 50 2 Interest 41,918 1,988 TOTAL 41,968 1,990

9 INFINITE CONVERGENCE SOLUTIONS, INC. SCHEDULE 4 : FIXED ASSETS GROSS BLOCK DEPRECIATION NET BLOCK Sl. No. Particulars Rate of Depreciation Additions during the period Total As at March 31st, Current period Total As at March 31st, As at March 31st, 1 IT Infrastructure 16.21% 7,520,317 7,520, , ,174 7,317,143 TOTAL (Amount in USD) 7,520,317 7,520, , ,174 7,317,143 TOTAL (Amount in INR '000) 339, ,467 9,171 9, ,296

10 Schedule 16 to Financial Statements - March 31 st,. Significant Accounting Polices and Notes on Accounts Company Overview Infinite Convergence Solutions, Inc. was incorporated on December 4 th, 2009 to develop & support, messaging platform that offers high performance, scalable implementation for short message service (SMS) and multimedia service (MMS) for telecom operators. The company is a subsidiary of Infinite Computer Solutions (India) Ltd Significant Accounting Policies Basis of Preparation The financial statements have been prepared under the historical cost convention in accordance with generally accepted accounting principles in India, as adopted consistently by the company. The Company follows the mercantile system of accounting and recognizes items of income and expenditure on accrual basis Use of Estimates The preparation of financial statements in conformity with GAAP requires the management to make estimates and assumptions that affect the reported balances of assets and liabilities as at the date of the financial statements and reported amounts of income and expenses during the quarter. Examples of such estimates include provision for employee benefits, provision for income taxes and useful lives of fixed assets. Accounting estimates could change from period to period. Actual results could differ from those estimates. Appropriate changes in estimates are made as the Management becomes aware of changes in circumstances surrounding the estimates Revenue Recognition Where the company provides software development and support services for products, the company is compensated with a share of the revenue from the sale of these products and related services by its customers. The Company recognizes revenue based on contractual terms Fixed Assets Fixed Assets are stated at cost, less accumulated depreciation. Costs include all expenses incurred to bring the assets to its present location and condition Depreciation Depreciation on fixed assets is provided on the straight line method over the estimated useful life of the assets estimated by the Management. Depreciation for assets purchased / sold during a period is proportionately charged. The rates of depreciation applied are as below: (i) Equipments % (iii) Furniture % (ii) Software % (iv) Vehicles %

11 Employee Benefits a. Provident Funds 401 (k) Plan All employees, 18 years of age or older, are eligible to participate in the plan on very first day of their employment. The plan allows for discretionary profit sharing contributions, and there are no matching contribution requirements. For the quarter ended March 31 st,, there were no Company contributions b. Compensated Absences The employees of the Company are entitled to paid leave as per their eligibility under the company s PTO leave policy. The expected liability cost of accumulating paid time off is measured based on the additional amount expected to be paid as a result of unused entitlement that has accumulated at the Balance Sheet date Taxation Income taxes are accrued in the same period that the related revenue and expenses arise. The income tax provision for the interim period is made based on the best estimate of taxes payable. Deferred Tax Expense or Benefit is recognized on timing differences being the difference between taxable income and accounting income that originate in one period and are capable of reversal in one or more subsequent periods. Deferred Tax assets and liabilities are measured using the tax rates and tax laws that have been enacted or substantively enacted by the balance sheet date. Deferred tax assets are recognized only to the extent that there is reasonable certainty that sufficient future taxable income will be available to realize the assets. Deferred tax provision for the interim period is provided on an estimated basis Foreign Currency Transactions Foreign currency denominated monetary assets and liabilities are translated at exchange rates in effect at the Balance Sheet date. The gains or losses resulting from such translations are included in the profit and loss account. Non-monetary assets and non-monetary liabilities denominated in foreign currency and measured at historical cost are translated at the exchange rate prevalent at the date of transaction. Revenue, expense and cash flow items denominated in foreign currencies are translated using the exchange rate in effect on the date of the transaction. Transaction gains or losses realized upon settlement of foreign currency transactions are included in determining net profit for the period in which the transaction is settled Earnings per share Basic earnings per share are computed by dividing the net profit after tax by the weighted average number of equity shares outstanding during the period. Diluted Earnings per share is not determined as there are no dilutive potential equity shares Cash and Cash Equivalents Cash and cash equivalents comprise of cash and cash on deposit with banks

12 Cash Flow Statement Cash flows are reported using the indirect method, whereby net profit before tax is adjusted for the effects of transaction of a non-cash nature, any deferrals or accruals of past or future operating cash receipts and payments and item of income or expenses associated with investing or financing cash flows. The cash flows from operating, investing and financing activities of the Company are segregated Intangible Assets Intangible assets are stated at cost related to development of the intangible asset less accumulated amortization Leased Assets Operating Leases: Rentals are expensed with reference to the lease terms and other considerations. Finance Leases: The lower of the fair value of the assets and the present value of the minimum lease rentals is capitalized as fixed assets with corresponding amount shown as lease liability. The principal component in the lease rental is adjusted against the lease liability and the interest component is charged to profit and loss account Provision, Contingent Liabilities and Contingent Assets Provisions involving substantial degree of estimation in measurement are recognized when there is a present obligation as a result of past events and it is probable that there will be an outflow of resources. Contingent liabilities are not recognized but are disclosed in the notes. Contingent assets are neither recognized not disclosed in the financial statements Notes on Accounts Amounts in the financial statements are presented in USD, except as otherwise stated. This is the first year of company s operations and hence previous year s data is not provided Income in Foreign Currency The Company has not earned any income in foreign currency Expenditure in Foreign Currency The Company has not made any payment in Foreign Currency. All Payments are made in USD Earnings Per Share The Earnings Per Share is calculated by dividing the net profit or loss for the period, attributable to Equity share holders by the weighted average number of equity shares outstanding during the period. Earnings Per Share during the period ended 31 st March is USD.13 per share [INR 6.03 per share]. The outstanding shares considered for computing EPS for the period ended March 31 st, is 5,000,000 equity shares.

13 Income Tax a) Current Tax - The income tax provision for the period ending March 31 st, is USD NIL as per the estimate of the Management. b) Deferred Tax-The Company has recorded net deferred tax liability of USD 420,449 [INR 18,979] as per the estimate of the management. Particulars Deferred Tax Asset / (liability) Amounts in USD Deferred Tax Asset / (liability) Amounts in INR ( in 000) NOL 437,929 19,768 Vacation 151,146 6,823 Depreciation ( 25,261) (1,140) Bad Debts NIL NIL Audit Fees R &D- Expensed for Tax ( 984,778) (44,453) Purposes Net Deferred Tax (420,449) (18,979) Contingencies There are no contingent liabilities or commitments Employee Benefits Defined contribution plans: Contribution to defined contribution plans, recognized as expense for the period is as under: Employer s Contribution to Social Security USD 56,892.30/-. [INR 2,698] Defined Benefit Plans: The obligation for paid time off is recognized based on the number of hours of accrued leave as at the date of financial statement of the respective employee at prevailing salary Auditor s Remuneration Statutory Audit Fees USD 1334 [INR 60] Managerial Remuneration Remuneration to Directors Nil Finance Lease In respect of fixed assets acquired on finance lease, the minimum lease rentals outstanding as on 31 st March are as follows:

14 Particulars Minimum Lease Payments Outstanding Future Interest on Outstanding Lease Payments Present Value of Minimum Lease Payments Minimum Lease Payments Outstanding Future Interest on Outstanding Lease Payments Present Value of Minimum Lease Payments Amounts in USD Amounts in INR (in 000) Within One 3,473, ,075 3,294, ,774 8, ,736 year > 1 year 3,773, ,939 3,610,117 and < 5 170,316 7, ,961 Years > 5 Years NIL NIL NIL NIL NIL NIL Total 7,246, ,013 6,905, ,090 15, , Operating Lease The minimum lease rentals outstanding as on 31 st March, are as follows: Minimum Lease Payments Outstanding USD INR (in 000) Within One year 209,868 9,473 > 1 year and < 5 Years - - > 5 Years - - Lease payments recognized in P&L A/c. 81,882 3, Related Party Disclosures The Company does not have any transactions with related parties during the period Product Development Cost - Intangible Assets: The details of amount spent on development and / or up gradation of products are given below: Particulars Op. Bal Incurred during the period Amortised during the period Cl. Bal Op. Bal Incurred during the period Amortised during the period Cl. Bal Amount in USD Amount in INR (in 000) Enhancement/ Development of Messaging Products NIL 2,549,918 NIL 2,549,918 NIL 115,103 NIL 115,103 Total NIL 2,549,918 NIL 2,549,918 NIL 115,103 NIL 115,103

15 The expenses are amortised over a period of 5 years from the commencement of commercial exploitation of the product. Foreign currency conversion Average foreign currency exchange rates are applied for the Profit & Loss transactions and exchange rate as on for Balance Sheet transaction. Amounts expressed in INR are INR in Thousands except for Earnings Per Share. For and on behalf of the Board Sanjay Govil Director Place : New Delhi Date : May 6 th, For Suresh and Co. Chartered Accountants FRN S D.S.Vivek Partner M.No Place : Bnagalore Date : May 6 th,

Infinite Computer Solutions, Inc. Auditors Report and Financial Statements for the year ended 31st March 2010

Infinite Computer Solutions, Inc. Auditors Report and Financial Statements for the year ended 31st March 2010 Infinite Computer Solutions, Inc. Auditors Report and Financial Statements for the year ended 31st March 2010 REPORT OF THE INDEPENDENT AUDITORS To the Board of Directors of Infinite Computer Solutions,

More information

Harrington Health Services, Inc. FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016

Harrington Health Services, Inc. FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 Harrington Health Services, Inc. FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, Bangalore May 31, HARRINGTON HEALTH SERVICES INC. BALANACE SHEET AS AT 31ST MARCH (Amount in Rs, except share

More information

Oracle Financial Services Software Inc. Unaudited Balance sheet as at March 31, 2016

Oracle Financial Services Software Inc. Unaudited Balance sheet as at March 31, 2016 Unaudited Balance sheet as at March 31, 2016 EQUITY AND LIABILITIES Notes March 31, 2016 March 31, 2015 Shareholders' funds Share capital 3 1 1 Reserves and surplus 4 67,863,342 49,732,175 67,863,343 49,732,176

More information

Wipro Technologies SRL

Wipro Technologies SRL BALANCE SHEET AS AT MARCH 31st, 2016 Wipro Technologies SRL ( Amt. in INR, Except Shares and per share Data, unless otherwise stated) As at As at Particulars Notes 31st March 2016 31st March 2015 A. EQUITY

More information

Persistent Systems Malaysia Sdn. Bhd.

Persistent Systems Malaysia Sdn. Bhd. CONDENSED BALANCE SHEET AS AT JUNE 30, 2014 Note EQUITY AND LIABILITIES Shareholders funds Share capital 1 74,875,848 74,875,848 Reserves and surplus 2 39,102,441 4,976,476 (A) 113,978,289 79,852,324 Share

More information

Shareholder's funds Share capital 3 1,777,885,036 1,777,885,036 Reserves and surplus 4 (7,552,905,671) (309,099,121) (5,775,020,635) 1,468,785,915

Shareholder's funds Share capital 3 1,777,885,036 1,777,885,036 Reserves and surplus 4 (7,552,905,671) (309,099,121) (5,775,020,635) 1,468,785,915 WIPRO SOLUTIONS CANADA LIMITED (Formerly WIPRO TECHNOLOGIES CANADA LTD) Balance sheet (Amount in, except share and per share data, unless otherwise stated) EQUITY AND LIABILITIES As at As at Sch No. 31

More information

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES S.A DE C.V BALANCE SHEET AS AT MARCH 31,2015 (Amount in except share and per share data,

More information

WIPRO GALLAGHER SOLUTIONS INC

WIPRO GALLAGHER SOLUTIONS INC WIPRO GALLAGHER SOLUTIONS INC FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 WIPRO GALLAGHER SOLUTIONS INC. BALANCE SHEET (Amount in, e xcept share and per share data, unless otherwise

More information

WIPRO TECHNOLOGY CHILE SPA FINANCIAL STATEMENTS

WIPRO TECHNOLOGY CHILE SPA FINANCIAL STATEMENTS WIPRO TECHNOLOGY CHILE SPA FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 WIPRO TECHNOLOGY CHILE SPA BALANCE SHEET AS AT MARCH 31,2016 (Amount in except share and per share data, unless

More information

WIPRO TECHNOLOGIES NORWAY AS FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO TECHNOLOGIES NORWAY AS FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES NORWAY AS FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES NORWAY AS BALANCE SHEET (Amount in ` except share and per share data, unless otherwise stated)

More information

WIPRO PROMAX ANALYTICS SOLUTIONS LLC FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO PROMAX ANALYTICS SOLUTIONS LLC FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO PROMAX ANALYTICS SOLUTIONS LLC FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 1 WIPRO PROMAX ANALYTICS SOLUTIONS LLC BALANCE SHEET (Amount in ` except share and per share data,

More information

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 WIPRO TECHNOLOGIES S.A DE C.V BALANCE SHEET AS AT MARCH 31, 2016 (Amount in except share and per share data,

More information

Persistent Systems France SAS

Persistent Systems France SAS BALANCE SHEET AS AT MARCH 31, 2015 Note EQUITY AND LIABILITIES Shareholders funds Share capital 1 97,467,000 97,467,000 Reserves and surplus 2 26,912,584 (10,908,264) (A) 124,379,584 86,558,736 Current

More information

Independent Auditor s Report. To the Board of Directors of INFINITE COMPUTER SOLUTIONS SDN BHD.

Independent Auditor s Report. To the Board of Directors of INFINITE COMPUTER SOLUTIONS SDN BHD. Independent Audir s Report To the Board of Direcrs of INFINITE COMPUTER SOLUTIONS SDN BHD. Report on the Annually Standalone Ind AS Financial Statements. We have audited the accompanying yearly standalone

More information

Financial Statements and Independent Auditor's Report WIPRO (THAILAND) CO LIMITED. 31 March 2016

Financial Statements and Independent Auditor's Report WIPRO (THAILAND) CO LIMITED. 31 March 2016 Financial Statements and Independent Auditor's Report WIPRO (THAILAND) CO LIMITED 31 March 2016 Contents Page Independent Auditor's Report Balance Sheet 1 Statement of Profit and Loss 2 Cash Flow Statement

More information

Aepona Limited CONDENSED BALANCE SHEET AS AT MARCH 31, 2016

Aepona Limited CONDENSED BALANCE SHEET AS AT MARCH 31, 2016 CONDENSED BALANCE SHEET AS AT MARCH 31, 2016 Notes EQUITY AND LIABILITIES Shareholders funds Share capital 1 1,230,620,264 Reserves and surplus 2 (1,137,001,443) (A) 93,618,821 Non- current liabilities

More information

WIPRO TECHNOLOGIES SA FINANCIAL STATEMENTS

WIPRO TECHNOLOGIES SA FINANCIAL STATEMENTS WIPRO TECHNOLOGIES SA FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES SA BALANCE SHEET AS AT MARCH 31,2015 (Amount in except share and per share data, unless otherwise

More information

Notes. Shareholders funds Share capital 1 8,600,000 8,600,000 Reserves and surplus 2 1,357,851,494 1,313,331,058 1,366,451,494 1,321,931,058

Notes. Shareholders funds Share capital 1 8,600,000 8,600,000 Reserves and surplus 2 1,357,851,494 1,313,331,058 1,366,451,494 1,321,931,058 Balance Sheet as at March 31st, 2015 Notes I. EQUITY AND LIABILITIES Shareholders funds Share capital 1 8,600,000 8,600,000 Reserves and surplus 2 1,357,851,494 1,313,331,058 1,366,451,494 1,321,931,058

More information

TOTAL 287,564, ,726, ,957,426

TOTAL 287,564, ,726, ,957,426 CONDENSED BALANCE SHEET AS AT JUNE 30, 2016 Notes As at As at As at ASSETS Non-current assets Property, Plant and Equipment 5.1 12,267,982 22,170,178 14,393,710 Intangible assets 5.2 66,977 208,187 89,117

More information

Financial Statements and Independent Auditor's Report. Wipro Technologies Australia Pty Limited. 31 March 2016

Financial Statements and Independent Auditor's Report. Wipro Technologies Australia Pty Limited. 31 March 2016 Financial Statements and Independent Auditor's Report Wipro Technologies Australia Pty Limited 31 March 2016 Contents Page Independent Auditor's Report Balance Sheet 1 Statement of Profit and Loss 2 Cash

More information

WIPRO SHANGHAI LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO SHANGHAI LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO SHANGHAI LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO SHANGHAI LIMITED BALANCE SHEET (Amount in ` except share and per share data, unless otherwise stated) As at

More information

Discoverture Solutions LLC Consolidated Balance Sheet as at March 31, (Amount in Rs.) Note no. As at March 31, 2015

Discoverture Solutions LLC Consolidated Balance Sheet as at March 31, (Amount in Rs.) Note no. As at March 31, 2015 Consolidated Balance Sheet as at March 31, 2015 A Particulars EQUITY AND LIABILITIES Note no. As at March 31, 2015 1 Shareholders funds Share capital 3.1.1 168,388,568 Reserves and surplus 3.1.2 18,566,445

More information

For Mindtree Software (Shanghai) Co., Ltd. Balance sheet

For Mindtree Software (Shanghai) Co., Ltd. Balance sheet Balance sheet Note As at As at EQUITY AND LIABILITIES Shareholders' funds Share capital 3.1.1 13,592,500 13,592,500 Reserves and surplus 3.1.2 (3,135,078) (4,086,508) 10,457,422 9,505,992 Current liabilities

More information

Oracle Financial Services Software Pte ltd. Directors Report

Oracle Financial Services Software Pte ltd. Directors Report Oracle Financial Services Software Pte ltd. Directors Report To the Members, Your Directors are pleased to present Annual Report on the business and operations of your company, together with the accounts

More information

WIPRO DO BRASIL TECNOLOGIA LTDA (Formely Enabler Brasil Ltda) FINANCIAL STATEMENTS

WIPRO DO BRASIL TECNOLOGIA LTDA (Formely Enabler Brasil Ltda) FINANCIAL STATEMENTS WIPRO DO BRASIL TECNOLOGIA LTDA (Formely Enabler Brasil Ltda) FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 WIPRO DO BRASIL TECNOLOGIA LTDA (Formely Enabler Brasil Ltda) BALANCE SHEET

More information

Financial Statements and Independent Auditor's Report PT WT INDONESIA LIMITED. 31 March 2016

Financial Statements and Independent Auditor's Report PT WT INDONESIA LIMITED. 31 March 2016 Financial Statements and Independent Auditor's Report PT WT INDONESIA LIMITED 31 March 2016 Contents Page Independent Auditor's Report Balance Sheet 1 Statement of Profit and Loss 2 Cash Flow Statement

More information

Oracle Financial Services Software S.A. Unaudited Balance sheet as at March 31, 2016

Oracle Financial Services Software S.A. Unaudited Balance sheet as at March 31, 2016 Unaudited Balance sheet as at March 31, 2016 EQUITY AND LIABILITIES Notes March 31, 2016 March 31, 2015 Shareholders' funds Share capital 3 60,000 60,000 Reserves and surplus 4 4,923,686 5,398,211 4,983,686

More information

Financial Statements and Independent Auditor's Report WIPRO TECHNOLOGIES SOUTH AFRICA PROPRIETARY LIMITED. 31 March 2016

Financial Statements and Independent Auditor's Report WIPRO TECHNOLOGIES SOUTH AFRICA PROPRIETARY LIMITED. 31 March 2016 Financial Statements and Independent Auditor's Report WIPRO TECHNOLOGIES SOUTH AFRICA PROPRIETARY LIMITED 31 March 2016 Contents Page Independent Auditor's Report Balance Sheet 1 Statement of Profit and

More information

SCANDENT GROUP INC., USA

SCANDENT GROUP INC., USA BALANCE SHEET AS AT DECEMBER 31, 2010 SOURCES OF FUNDS Notes USD INR USD INR 2010 2010 2009 2009 Shareholders' Funds Share capital 8 99,30,062 45,23,14,324 99,30,062 46,56,20,607 Reserves and surplus 9

More information

Transcending Geographies. Driving Innovation.

Transcending Geographies. Driving Innovation. SM SM Transcending Geographies. Driving Innovation. AUTOMOTIVE & TRANSPORTATION MANUFACTURING ENERGY & UTILITIES FINANCIAL STATEMENTS OF SUBSIDIARIES 2011-12 Contents KPIT Limited... 01 KPIT Inc. (Consolidated)...

More information

PRIME FOCUS TECHNOLOGIES INC. Notes to Standalone financial statements

PRIME FOCUS TECHNOLOGIES INC. Notes to Standalone financial statements Notes to Standalone financial statements 1. Corporate Information Prime Focus Technologies Inc. ("the Holding Company") was incorporated on 21st February, 2013 in USA. Prime Focus Technologies Private

More information

Oracle Financial Services Software B.V. Unaudited Balance sheet as at March 31, 2015

Oracle Financial Services Software B.V. Unaudited Balance sheet as at March 31, 2015 Unaudited Balance sheet as at March 31, 2015 EQUITY AND LIABILITIES Notes Shareholders' funds Share capital 3 14,000,000 14,000,000 Reserves and surplus 4 16,252,374 13,800,287 30,252,374 27,800,287 Noncurrent

More information

PLANET PSG PTE LTD, SINGA PORE

PLANET PSG PTE LTD, SINGA PORE SCHEDULE 9 SIGNIFICANT ACCOUNTING POLICIES 9.1 Company overview Planet PSG Pte Ltd, Singapore ( the Company ) is a subsidiary of Wipro Limited ( the holding company ). The functional currency of the Company

More information

To the Board of Directors of Infinite Computer Solutions (Shanghai) Co. Limited.

To the Board of Directors of Infinite Computer Solutions (Shanghai) Co. Limited. Independent Audir s Report To the Board of Direcrs of Infinite Computer Solutions (Shanghai) Co. Limited. Report on the Standalone Interim Financial Statements We have audited the accompanying standalone

More information

3. Our responsibility is to express an opinion on these financial statements based on our audit.

3. Our responsibility is to express an opinion on these financial statements based on our audit. Independent Auditor s Report To the Board of Directors of Wipro Technologies Peru SAC Report on the Financial Statements 1. We have audited the accompanying financial statements of Wipro Technologies Peru

More information

WIPRO NETWORKS PTE LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO NETWORKS PTE LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO NETWORKS PTE LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 1 WIPRO NETWORKS PTE LIMITED BALANCE SHEET (Amount in ` except share and per share data, unless otherwise stated)

More information

WIPRO TECHNOLOGIES SOUTH AFRICA PROPREITARY PVT LTD FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO TECHNOLOGIES SOUTH AFRICA PROPREITARY PVT LTD FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES SOUTH AFRICA PROPREITARY PVT LTD FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 1 WIPRO TECHNOLOGIES SOUTH AFRICA PROPRIETARY LIMITED BALANCE SHEET (Amount in ` except

More information

WIPRO TECHNOLOGIES SDN BHD (formerly known as PLANET PSG SDN BHD), MALAYSIA FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO TECHNOLOGIES SDN BHD (formerly known as PLANET PSG SDN BHD), MALAYSIA FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES SDN BHD (formerly known as PLANET PSG SDN BHD), MALAYSIA FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO TECHNOLOGIES SDN BHD (formerly known as PLANET PSG SDN

More information

Sd/- For, Swamy & Ravi Chartered Accountants Firm Registration number : S. Sd/- Bangalore. Balance sheet (Rs) As of March 31, As of March 31,

Sd/- For, Swamy & Ravi Chartered Accountants Firm Registration number : S. Sd/- Bangalore. Balance sheet (Rs) As of March 31, As of March 31, Balance sheet SOURCES OF FUNDS As of As of Schedule 2010 2009 SHAREHOLDERS' FUNDS Share capital 1 415,890 415,890 Reserves and surplus 2 92,454,314 263,794,025 92,870,204 264,209,915 APPLICATION OF FUNDS

More information

WIPRO UK LIMITED (Formerly SAIC UK Limited) BALANCE SHEET (` in `, except share and per share data, unless otherwise stated) Notes

WIPRO UK LIMITED (Formerly SAIC UK Limited) BALANCE SHEET (` in `, except share and per share data, unless otherwise stated) Notes WIPRO UK LIMITED (Formerly SAIC UK Limited) BALANCE SHEET (` in `, except share and per share data, unless otherwise stated) Notes As on Mar 31, 2015 Mar 31, 2014 EQUITY AND LIABILITIES Shareholder's funds

More information

3. Our responsibility is to express an opinion on these financial statements based on our audit.

3. Our responsibility is to express an opinion on these financial statements based on our audit. Independent Auditor s Report To the Board of s of Wipro Promax Analytics Solutions LLC Report on the Financial Statements 1. We have audited the accompanying financial statements of Wipro Promax Analytics

More information

Annual Report. Principal Pnb Asset Management Company Private Limited

Annual Report. Principal Pnb Asset Management Company Private Limited Annual Report Principal Pnb Asset Management Company Private Limited 2010-2011 Balance Sheet as at March 31, 2011 March 31, 2011 March 31, 2011 March 31, 2010 Schedule Rs. Rs. Rs. Sources of Funds

More information

DAX Cloud ULC. Standalone Financial Statement for the Year ended

DAX Cloud ULC. Standalone Financial Statement for the Year ended Standalone Financial Statement for the Year ended March 31, 2018 Balance Sheet as on 31.03.2018 Particulars Notes 31.Mar.18 31.Mar.17 Assets 1. Non-current assets (a) Property, plant and equipment - -

More information

Firstsource-Dialog Solutions (Private) Limited

Firstsource-Dialog Solutions (Private) Limited Special Purpose Financial Statements together with the Independent Auditors Report Special Purpose Financial Statements together with the Independent Auditors Report Contents Independent auditors report

More information

RELIANCE TRADING LIMITED. Reliance Trading Limited Financial Statements

RELIANCE TRADING LIMITED. Reliance Trading Limited Financial Statements RELIANCE TRADING LIMITED 1 Reliance Trading Limited Financial Statements 2016-17 2 RELIANCE TRADING LIMITED Independent Auditor s Report To the Board of s of Reliance Trading Limited 1. We have audited

More information

WIPRO DO BRASIL TECHNOLOGIA LTDA (Formely Enabler Brasil LTDA) FINANCIAL STATEMENTS

WIPRO DO BRASIL TECHNOLOGIA LTDA (Formely Enabler Brasil LTDA) FINANCIAL STATEMENTS WIPRO DO BRASIL TECHNOLOGIA LTDA (Formely Enabler Brasil LTDA) FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED DECEMBER 31, 2014 WIPRO DO BRASIL TECHNOLOGIA LTDA (Forme ly Enable r Brasil LTDA) FINANCIAL

More information

3. Our responsibility is to express an opinion on these financial statements based on our audit.

3. Our responsibility is to express an opinion on these financial statements based on our audit. Independent Auditor s Report To the Board of s of Wipro Information Technology Egypt SAE Report on the Financial Statements 1. We have audited the accompanying financial statements of Wipro Information

More information

INDIACAST UK LIMITED

INDIACAST UK LIMITED 491 INDIACAST UK LIMITED 492 INDIACAST UK LIMITED Independent Auditors Report To The Board of Directors of Indiacast UK Limited Report on the Financial Statements We have audited the accompanying standalone

More information

NARAYAN NIWAS, 63, AAREY ROAD, GOREGAON (W), MUMBAI TEL.: / CIN No. AAC2949

NARAYAN NIWAS, 63, AAREY ROAD, GOREGAON (W), MUMBAI TEL.: / CIN No. AAC2949 To The Members of CYBERSCAPE MULTIMEDIA LIMITED Report on Financial Statements INDEPENDENT AUDITOR S REPORT We have audited the accompanying standalone financial statements of CYBERSCAPE MULTIMEDIA LIMITED

More information

(Amount in Rs.) Particulars Note No. As at As at As at March 31, 2017 March 31, 2016 January 1, 2015

(Amount in Rs.) Particulars Note No. As at As at As at March 31, 2017 March 31, 2016 January 1, 2015 BALANCE SHEET AS AT MARCH 31, 2017 0 (0) (0) Note No. March 31, 2016 January 1, 2015 1) ASSETS Non-current assets (a) Property, plant and equipment 5 2,576,098,946 2,635,566,136 35,362,666 (b) Capital

More information

INDEPENDENT AUDITOR S REPORT. To the Board of Directors of eclerx LLC. Report on the Financial Statements

INDEPENDENT AUDITOR S REPORT. To the Board of Directors of eclerx LLC. Report on the Financial Statements INDEPENDENT AUDITOR S REPORT To the Board of Directors of eclerx LLC Report on the Financial Statements We have audited the accompanying financial statements of eclerx LLC ( the Company ), which comprise

More information

To the Board of Directors of Wipro Information Technology Kazakhstan LLP

To the Board of Directors of Wipro Information Technology Kazakhstan LLP Independent Auditor s Report To the Board of Directors of Wipro Information Technology Kazakhstan LLP Report on the Financial Statements 1. We have audited the accompanying financial statements of Wipro

More information

3i INFOTECH ASIA PACIFIC PTE LIMITED (incorporated in Singapore) Consolidated Balance Sheet as at March 31, 2015 SGD. Note No.

3i INFOTECH ASIA PACIFIC PTE LIMITED (incorporated in Singapore) Consolidated Balance Sheet as at March 31, 2015 SGD. Note No. 3i INFOTECH ASIA PACIFIC PTE LIMITED (incorporated in Singapore) Consolidated Balance Sheet as at Note No. I. EQUITY AND LIABILITIES Shareholders funds Share capital 2 53,46,202 53,46,202 Reserves and

More information

Gazipura Securities & Services (Private) Ltd Financial Statements For the year ended June 30, 2017

Gazipura Securities & Services (Private) Ltd Financial Statements For the year ended June 30, 2017 Gazipura Securities & Services (Private) Ltd Financial Statements For the year ended June 30, 2017 Financial Statements Contents Page No. Directors' Report 1 Auditor's Report 2-3 Balance Sheet 4 Profit

More information

3. Our responsibility is to express an opinion on these financial statements based on our audit.

3. Our responsibility is to express an opinion on these financial statements based on our audit. Independent Auditor s Report To the Board of Directors of Wipro Do Brasil Sistemetas De Informatica Ltd Report on the Financial Statements 1. We have audited the accompanying financial statements of Wipro

More information

WIPRO HOLDINGS (MAURITIUS) LIMITED STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO HOLDINGS (MAURITIUS) LIMITED STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 1 BALANCE SHEET AS AT MARCH 31, 2015 (Amount in INR, except share and per share data, unless otherwise stated) 2015 2014 I. EQUITY

More information

Financial Statements and Independent Auditor's Report WIPRO HOLDINGS (MAURITIUS) LIMITED. 31 March 2016

Financial Statements and Independent Auditor's Report WIPRO HOLDINGS (MAURITIUS) LIMITED. 31 March 2016 Financial Statements and Independent Auditor's Report WIPRO HOLDINGS (MAURITIUS) LIMITED 31 March 2016 Contents Page Independent Auditor's Report Balance Sheet 1 Statement of Profit and Loss 2 Cash Flow

More information

Oracle Financial Services Software (Shanghai) Limited. Directors Report. FINANCIAL PERFORMANCE (Rs. in lacs) Particulars

Oracle Financial Services Software (Shanghai) Limited. Directors Report. FINANCIAL PERFORMANCE (Rs. in lacs) Particulars To the Members, Directors Report Your Directors are pleased to present Annual Report on the business and operations of your company, together with the accounts for the year ended March 31, 2011. FINANCIAL

More information

The accompanying notes referred to above form an integral part of the Balance Sheet

The accompanying notes referred to above form an integral part of the Balance Sheet Balance Sheet as at Particulars Notes INR INR ASSETS Non-current assets Property, plant and equipment 2.1 516 10,170 976 19,996 Deferred tax assets (net) 2.2 - - 19,221 393780 non-current assets 516 10,170

More information

29,213 28,197 ASSETS Non-current assets Fixed Assets Tangible assets Intangible assets Long-term loans and advances

29,213 28,197 ASSETS Non-current assets Fixed Assets Tangible assets Intangible assets Long-term loans and advances Vanthys Pharmaceutical Development Private limited Balance Sheet as at 31 March 2014 (Rs '000) As at As at Notes No EQUITY AND LIABILITIES Shareholders' funds Share capital Reserves and surplus 2 225,000

More information

Principal Activities The principal activities of the company is manufacturing of products for the health and beauty industry.

Principal Activities The principal activities of the company is manufacturing of products for the health and beauty industry. FRAVIN PTY LTD DIRECTORS REPORT FOR THE PERIOD 07 th JANUARY 2015 TO 31 st MARCH 2015 The directors present their report and the financial statements for the period 7 th January 2015 to 31 st March 2015.

More information

Vidya Mandir Classes Limited Balance Sheet as at

Vidya Mandir Classes Limited Balance Sheet as at Vidya Mandir Classes Limited Balance Sheet as at Note No. EQUITY AND LIABITIES Shareholders' funds Share capital 2.1 728,000 728,000 728,000 Reserves and surplus 2.2 321,950,938 229,431,729 247,910,035

More information

Balance Sheet as at March 31, 2018 Amount in Rs. Amount in Rs. Particulars

Balance Sheet as at March 31, 2018 Amount in Rs. Amount in Rs. Particulars Balance Sheet as at March 31, 2018 Note Equity and liabilities Shareholders' funds Share capital 3 25,00,00,000 25,00,00,000 Reserves and surplus 4 6,37,76,463 2,22,19,723 Non-Current Liabilities Long-term

More information

TOTAL 7,359, ,983,397 8,808, ,104,571

TOTAL 7,359, ,983,397 8,808, ,104,571 Balance Sheet Note USD INR USD INR EQUITY AND LIABILITIES Shareholder's funds Share Capital 3 5,366,671 355,139,451 5,366,671 334,534,118 Reserves and Surplus 4 986,847 6,353,518 65,304,574 420,444,025

More information

RIL USA, Inc. RIL USA, INC. 1

RIL USA, Inc. RIL USA, INC. 1 RIL USA, Inc. RIL USA, INC. 1 2 RIL USA, INC. Independent Auditors Report To the Board of RIL USA Inc Report on the Standalone Financial Statements We have audited the accompanying financial statements

More information

AUDITORS REPORT THE MEMBERS RULETEK INC. Report on the Financial Statements

AUDITORS REPORT THE MEMBERS RULETEK INC. Report on the Financial Statements AUDITORS REPORT THE MEMBERS RULETEK INC Report on the Financial Statements 1. We have audited the attached Balance Sheet of RULETEK INC. as at 31st March, 2018 and the related Profit and Loss Statement

More information

NIIT Technologies Inc., USA Balance Sheet as at 31st March, 2011

NIIT Technologies Inc., USA Balance Sheet as at 31st March, 2011 NIIT Technologies Inc., USA Balance Sheet as at 31st March, 2011 SOURCES OF FUNDS Schedule No. / As At As At Note Reference 31st March, 2011 31st March, 2010 SHAREHOLDERS' FUNDS Share Capital 1 123,377,137

More information

Oracle Financial Services Software Chile Limitada. Directors Report

Oracle Financial Services Software Chile Limitada. Directors Report Directors Report To the Members, Your Directors are pleased to present the Annual Report on the business and operations of your company, together with the accounts for the year ended March 31, 2011. FINANCIAL

More information

Manappuram Finance Limited (formerly Manappuram General Finance and Leasing Limited)

Manappuram Finance Limited (formerly Manappuram General Finance and Leasing Limited) Balance Sheet as at September 30, 2011 Schedule SOURCES OF FUNDS Shareholders' funds Share capital 1 1,667.50 833.75 Share application money pending allotment 111.03 - Reserves and surplus 2 20,003.34

More information

Gener8 Digital Media Services Limited

Gener8 Digital Media Services Limited Balance sheet In CAD Notes As at March 31, Assets Non-current assets Property, plant and equipment 3 333,087 116,003 115,296 Capital work-in progress 1,070 - - Intangible assets 4 12,323,814 9,204,348

More information

JR TOLL ROAD PRIVATE LIMITED FINANCIAL STATEMENT FOR

JR TOLL ROAD PRIVATE LIMITED FINANCIAL STATEMENT FOR JR TOLL ROAD PRIVATE LIMITED FINANCIAL STATEMENT FOR YEAR ENDED 31ST MARCH 2015 Balance Sheet as at 31st March 2015 Particulars Note As at March 31, 2015 As at March 31, 2014 I. EQUITY AND LIABILITIES

More information

Cardinal Energy and Infrastructure Private Limited Balance Sheet as at March 31, 2017

Cardinal Energy and Infrastructure Private Limited Balance Sheet as at March 31, 2017 Balance Sheet as at March 31, 2017 Note No. March 31, 2017 ( ` in Lacs) March 31, 2016 EQUITY AND LIABILITIES Shareholder's Funds Share Capital 1 1,501.00 1,501.00 Reserves and Surplus 2 (1,454.09) (1,469.62)

More information

Our responsibility is to express an opinion on these financial statements based on our audit.

Our responsibility is to express an opinion on these financial statements based on our audit. INDEPENDENT AUDITOR S REPORT To the Board of Directors of Report on the Financial Statements We have audited the accompanying financial statements of (the Company), which comprises of the Balance Sheet

More information

Net Current Assets (62,748,149) (2,858,178,175) (90,126,095) (4,225,111,319)

Net Current Assets (62,748,149) (2,858,178,175) (90,126,095) (4,225,111,319) Balance Sheet as at December 31, 2010 SOURCES OF FUNDS Schedule 2010 2010 2009 2009 (Amount in USD) (Amount in INR) (Amount in USD) (Amount in INR) Shareholders' Funds Share capital A 28 1,275 28 1,313

More information

1800 Vine Street LLC. Notes As at March 31,

1800 Vine Street LLC. Notes As at March 31, Balance sheet In USD Notes As at March 31, As at April 1, 2017 2016 2015 Assets Non-current assets Property, plant and equipment 3 - - 9,888,090 Non-current tax assets 4 1,300 1,300 1,300 1,300 1,300 9,889,390

More information

Vidya Mandir Classes Limited Balance Sheet as at

Vidya Mandir Classes Limited Balance Sheet as at Vidya Mandir Classes Limited Balance Sheet as at Note No. EQUITY AND LIABITIES Shareholders' funds Share capital 2.1 7,28,000 7,28,000 7,28,000 Reserves and surplus 2.2 29,51,15,712 21,75,51,228 24,79,10,035

More information

S G M & Associates LLP Chartered Accountants

S G M & Associates LLP Chartered Accountants S G M & Associates LLP Chartered Accountants 444 Ground Floor, 6 th Cross, 7 th Main, J P Nagar 3 rd Phase, Bengaluru 560 078. CIN AAI-0262 INDEPENDENT AUDITOR S REPORT TO THE PARTNERS OF HEALTHCARE DIWANCHAND

More information

3. Our responsibility is to express an opinion on these financial statements based on our audit.

3. Our responsibility is to express an opinion on these financial statements based on our audit. Independent Auditor s Report To the Board of Directors of Wipro do Brasil Technologia Ltda Report on the Financial Statements 1. We have audited the accompanying financial statements of Wipro do Brasil

More information

RELIANCE GLOBAL ENERGY SERVICES LIMITED. Reliance Global Energy Services Limited

RELIANCE GLOBAL ENERGY SERVICES LIMITED. Reliance Global Energy Services Limited 1 Reliance Global Energy Services Limited 2 Independent Auditor s Report TO THE MEMBERS OF We have audited the financial statements of Reliance Global Energy Services Limited for the year ended 31 March

More information

Vijay Kumar & associates Chartered Accountant

Vijay Kumar & associates Chartered Accountant Vijay Kumar & associates Chartered Accountant 220, Gold Plaza, gurudwara, Road Karolbagh, Delhi110005 Independent Auditors Report To the Members of Zero Time Constructions Private Limited Report on the

More information

Financial Statements of Cyber Media Research & Services Limited for the Financial Year ended

Financial Statements of Cyber Media Research & Services Limited for the Financial Year ended Financial Statements of Cyber Media Research & Services Limited for the Financial Year ended 31.03.2017 CYBER MEDIA RESEARCH & SERVICES LIMITED CIN : U74130DL1996PLC081509 BALANCE SHEET AS AT 31ST MARCH,

More information

UNIBEV LIMITED (Formerly known as M/s Uber Blenders & Distillers Limited)

UNIBEV LIMITED (Formerly known as M/s Uber Blenders & Distillers Limited) BALANCE SHEET AS AT 31 st, MARCH,2017 Notes March 31, 2017 March 31, 2016 (Rs.) (Rs.) I EQUITY AND LIABILITIES (1) Shareholders' funds Share Capital 2 12,786,950 500,000 Reserve and Surplus 3 (10,784,813)

More information

Affinity Names, Inc. AFFINITY NAMES, INC. 1

Affinity Names, Inc. AFFINITY NAMES, INC. 1 Affinity Names, Inc. AFFINITY NAMES, INC. 1 2 AFFINITY NAMES, INC. Independent Auditors Report To the Board of Directors Reliance Industries Limited Report on the Standalone Financial Statements We have

More information

WIPRO HOLDINGS HUNGARY KORLATOLT FELEL.SSEG TARSASAG STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO HOLDINGS HUNGARY KORLATOLT FELEL.SSEG TARSASAG STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO HOLDINGS HUNGARY KORLATOLT FELEL.SSEG TARSASAG STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 1 WIPRO HOLDINGS HUNGARY KORLATOLT FELEL.SSEG TARSASAG BALANCE SHEET AS

More information

3I INFOTECH (AFRICA) LTD BALANCE SHEET AS AT MARCH 31, 2017

3I INFOTECH (AFRICA) LTD BALANCE SHEET AS AT MARCH 31, 2017 BALANCE SHEET AS AT MARCH 31, 2017 Particulars Notes March 31, 2017 March 31, 2016 April 1, 2015 ASSETS Non-Current Assets (a) Property, Plant and Equipment 3 79,679 (0) 2,195,778 79,679 (0) 2,195,778

More information

Vijay Kumar & associates Chartered Accountant

Vijay Kumar & associates Chartered Accountant Vijay Kumar & associates Chartered Accountant 220, Gold Plaza, gurudwara, Road Karolbagh, Delhi-110005 Independent Auditors Report To the Members of Innova E Services Private Limited Report on the Ind

More information

Oracle Financial Services Software Inc. Directors Report. FINANCIAL PERFORMANCE (Amount in ` Millions)

Oracle Financial Services Software Inc. Directors Report. FINANCIAL PERFORMANCE (Amount in ` Millions) Directors Report To the Members, Your Directors are pleased to present the Annual Report on the business and operations of your Company, together with the accounts for the year ended March 31, 2014 FINANCIAL

More information

WIPRO TRADEMARKS HOLDING LIMITED STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016

WIPRO TRADEMARKS HOLDING LIMITED STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 WIPRO TRADEMARKS HOLDING LIMITED STANDALONE FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 1 2 3 4 1. Company overview WIPRO TRADEMARKS HOLDING LIMITED NOTES TO THE FINANCIAL STATEMENTS

More information

WIPRO EUROPE LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016

WIPRO EUROPE LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 WIPRO EUROPE LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2016 1 WIPRO EUROPE LIMITED BALANCE SHEET ( in `, except share and per share data, unless otherwise stated) Notes EQUITY

More information

Vidya Mandir Classes Limited Balance Sheet as at

Vidya Mandir Classes Limited Balance Sheet as at Vidya Mandir Classes Limited Balance Sheet as at Note No. 30th June 2015 30th June 2014 31st March 2014 EQUITY AND LIABITIES Shareholders' funds Share capital 2.1 7,28,000 7,28,000 7,28,000 Reserves and

More information

IDEA CELLULAR INFRASTRUCTURE SERVICES LIMITED ANNUAL REPORT

IDEA CELLULAR INFRASTRUCTURE SERVICES LIMITED ANNUAL REPORT IDEA CELLULAR INFRASTRUCTURE SERVICES LIMITED ANNUAL REPORT 2014-15 Independent Auditors Report To the Members of Idea Cellular Infrastructure Services Limited Report on the Financial Statements We have

More information

DEEPAK PHENOLICS LIMITED (Formerly known as Deepak Clean Tech Limited ) Balance Sheet as at March 31, 2016 As at March 31, 2016

DEEPAK PHENOLICS LIMITED (Formerly known as Deepak Clean Tech Limited ) Balance Sheet as at March 31, 2016 As at March 31, 2016 DEEPAK PHENOLICS LIMITED (Formerly known as Deepak Clean Tech Limited ) Balance Sheet as at Note No. I. EQUITY AND LIABILITIES Shareholders Funds Share Capital 2 6,184.41 1,405.00 Reserves and Surplus

More information

Oracle Financial Services Software America, Inc. Unaudited Balance sheet as at March 31, 2016

Oracle Financial Services Software America, Inc. Unaudited Balance sheet as at March 31, 2016 Unaudited Balance sheet as at March 31, 2016 EQUITY AND LIABILITIES Notes Shareholders' funds Share capital 3 1 1 Reserves and surplus 4 124,031,152 124,146,572 124,031,153 124,146,573 Current liabilities

More information

Prudence and Simplicity

Prudence and Simplicity Prudence and Simplicity Kotak Mahindra Inc. ANNUAL REPORT -13 BOARD OF DIRECTORS: MR. MANISH MEHTA, MR. VISWANATH VARDARAJAN, MR. GAURANG SHAH, MR. C. JAYARAM Directors Report I To the shareholders of

More information

CA Narendra Khandal Partner M. No Mumbai, May 16, 2015

CA Narendra Khandal Partner M. No Mumbai, May 16, 2015 CA Narendra Khandal Partner M. No. 065025 Mumbai, May 16, 2015 CA Narendra Khandal Partner M. No. 065025 Mumbai, May 16, 2015 LATUR AIRPORT PRIVATE LIMITED ANNUAL ACCOUNTS FOR THE FY 2014-2015 Balance

More information

Notes. Non - current liabilities Unsecured Loan 5 1,20,00,000 - Other long term liabilities 5 1,43,68,218 1,43,68,218

Notes. Non - current liabilities Unsecured Loan 5 1,20,00,000 - Other long term liabilities 5 1,43,68,218 1,43,68,218 Balance Sheet as at Notes Equity and liabilities Shareholders' funds Share capital 3 64,69,39,500 64,69,39,500 Reserves and surplus 4 (42,99,34,630) (41,73,20,619) 21,70,04,870 22,96,18,881 Non - current

More information

RELIANCE GLOBAL ENERGY SERVICES LIMITED Reliance Global Energy Services Limited

RELIANCE GLOBAL ENERGY SERVICES LIMITED Reliance Global Energy Services Limited RELIANCE GLOBAL ENERGY SERVICES LIMITED 1177 Reliance Global Energy Services Limited 1178 RELIANCE GLOBAL ENERGY SERVICES LIMITED Independent Auditor s Report To the Members of Reliance Global Energy Services

More information

FANTAIN SPORTS PRIVATE LIMITED 1. Fantain Sports Private Limited

FANTAIN SPORTS PRIVATE LIMITED 1. Fantain Sports Private Limited FANTAIN SPORTS PRIVATE LIMITED 1 Fantain Sports Private Limited 2 FANTAIN SPORTS PRIVATE LIMITED Independent Auditor s Report To the Members of Fantain Sports Private Limited Report on the Standalone Financial

More information

WIPRO CORPORATE TECHNOLOGIES GHANA LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015

WIPRO CORPORATE TECHNOLOGIES GHANA LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 2015 WIPRO CORPORATE TECHNOLOGIES GHANA LIMITED FINANCIAL STATEMENTS AS OF AND FOR THE YEAR ENDED MARCH 31, 1 WIPRO CORPORATE TECHNOLOGIES GHANA LIMITED BALANCE SHEET AS AT MARCH 31, (Amount in ` except share

More information

RELIANCE GLOBAL ENERGY SERVICES LIMITED 1. Reliance Global Energy Services Limited

RELIANCE GLOBAL ENERGY SERVICES LIMITED 1. Reliance Global Energy Services Limited RELIANCE GLOBAL ENERGY SERVICES LIMITED 1 Reliance Global Energy Services Limited 2 RELIANCE GLOBAL ENERGY SERVICES LIMITED IndependentAuditor s Report To the Members of Reliance Global Services Limited

More information