Elgi Compressors Italy S.r.l. Balance Sheet As At 31st March 2017

Similar documents
Elgi Compressors Europe S.r.l. Balance Sheet As At 31st March, 2018 Particulars Note March 31, 2018 March 31, 2017

Total Non Current Assets 1,210,797 4,134,177

Total Non Current Assets 13,64, ,33,862.00

I. EQUITY AND LIABILITIES EQUITY Equity Share Capital 18 11,00,61,139 11,00,61,139 Other Equity 19 (19,92,34,465) (16,24,10,364)

ELGI GULF FZE BALANCE SHEET AS AT 31ST MARCH, 2016

I. EQUITY AND LIABILITIES EQUITY Equity Share Capital , ,000 Other Equity 19 1,492,255 26,719

I. EQUITY AND LIABILITIES EQUITY Equity Share Capital ,061, ,061,139 Other Equity 19 (223,428,513) (199,234,465)

(Value in INR) BALANCE SHEET AS AT Particulars Note March 31,2017 March 31,2016 II. ASSETS

ERGO DESIGN PRIVATE LIMITED BALANCE SHEET AS AT 31ST MARCH, 2016

ADISONS PRECISION INSTRUMENTS MANUFACTURING COMPANY LIMITED BALANCE SHEET AS AT 31ST MARCH, 2016 ( `.in INR)

As at March 31, 2016 As at April 1, 2015 Balance Sheet as at March 31, 2017 Note No. Rs. Lakhs Rs. Lakhs Rs. Lakhs

PRESCIENT COLOR LIMITED CIN - U24229PN2006PLC Balance Sheet as on 31st March Note No.

Arrow Pharma Pte Limited BALANCE SHEET AS AT Mar 31, 2016

Current assets (a) Financial assets (i) Cash and cash equivalents 2 108,330 (b) Other current assets 3 879,348 Total current assets 987,678

As at. As at 31-Mar-17

Financial statements 1.Consolidated financial statements (1)Consolidated Balance Sheet (Millions of Yen) As of March 31,2017 As of March 31,2018

As at March 31, 2016 As at April 1, 2015 Balance Sheet as at March 31, 2017 Note No. Rs. Lakhs Rs. Lakhs Rs. Lakhs Rs. Lakhs

As at 31 March, Notes No

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

Schedules to Balance Sheet

Suzlon Wind Eberji Sanayi ve Ticaret Limited Sirketi. IND AS Financial Statements for the year ended March 31, 2018

NORTH KARANPURA TRANSMISSION COMPANY LIMITED ANNUAL ACCOUNTS FOR THE FY

Share Capital 1 10, , Reserves and Surplus 2 9,07, ,97, ,97, ,87,732.03

Balance Sheet. 6th Fiscal Year (as of Dec ) 5th Fiscal Year (as of Dec )

PARTICULARS SCHEDULE As at

As at March 31, 2017 Balance Sheet as at March 31, 2018 Note No. Rs. Lakhs Rs. Lakhs Rs. Lakhs

Financial Results for the Year Ended March 31, 2018

Strides Pharma Namibia BALANCE SHEET AS AT Mar 31, 2016

Strides Pharma Cameroon BALANCE SHEET AS AT Mar 31, 2016

Consolidated Financial Statements (1) Consolidated Balance Sheets

5. Consolidated Financial Statements (1) Consolidated Balance Sheets

SPC Co. Ltd Sudan BALANCE SHEET AS AT Mar 31, 2016

SAKTHI AUTO COMPONENT LIMITED BALANCE SHEET AS AT

Financial Results for the Year Ended March 31, 2014

million yen % (39.5) 10.2 million yen 8,855 8,654

ACRYSIL UK LIMITED. BALANCE SHEET AS AT 31st MARCH Note No. 31st March st March Particulars EQUITY AND LIABILITIES ::

Transcending Geographies. Driving Innovation.

JUBILANT DRAXIMAGE INC., CANADA

1, , Total liabilities Total equity and liabilities 1, ,329.77

FANTAIN SPORTS PRIVATE LIMITED 1. Fantain Sports Private Limited

Tejas Networks Limited (All amounts in Rupees Crore except for share data or as otherwise stated) Standalone Balance Sheet as at

Wipro Technologies SRL

Tejas Networks Limited (All amounts in Rupees Crore except for share data or as otherwise stated) Standalone Balance Sheet as at

STS Gems Thai Limited Balance Sheet as at 31st March, 2016

STS Gems Thai Limited Balance Sheet as at 31st March, 2015

Consolidated Financial Statements and Primary Notes

Euro ( in thousand) As at. As at 31 March 2017

TOTAL ASSETS 862,452 1,723,575. Equity (a) Equity share capital (b) Other equity 6 622, ,975 Total Equity 622, ,075

BALANCE SHEET as at Obligator: FTB TURIZAM d.d. ZAGREB

Consolidated Financial Statements and Primary Notes

FUJI YAKUHIN CO., Ltd. Consolidated Financial Statements For the Year ended March 31,2017

Summary of Consolidated Financial Results for the Year Ended March 31, 2017 (Based on Japanese GAAP)

Part A (DD/MM/YYYY) (a)* Date of Board of Directors' meeting in which consolidated financial statements were approved

Balance Sheet as at March 31, 2010

3. CONSOLIDATED QUARTERLY FINANCIAL STATEMENTS

BALANCE SHEET as at Obligator: LIBURNIA RIVIERA HOTELI d.d. OPATIJA

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

1 Shareholders funds (a) Share Capital 3 3,50,00,000 3,50,00,000 (b) Reserves and Surplus 4 37,54,27,471 26,34,00,476

Long-Term Borrowings - - Deferred Tax Liabilities (Net) - - Other Long-Term Liabilities - - Long-Term Provisions

Notes No 2014 RMB 1 1,652, ,096,459 31,749, ,410, , ,273, ,597, ,346, , , , ,793

CONSOLIDATED BALANCE SHEET

Cramlington Precision Forge Limited

Consolidated Financial Statements (1) Consolidated Balance Sheet (Unit: Million yen) Previous Consolidated Fiscal Year (Ended March 31, 2011)

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

ANNUAL REPORT OF TATA TECHNOLOGIES INC, USA

Consolidated Financial Statements (1) Consolidated Balance Sheet

Consolidated Balance Sheet Thousands of yen

TVS Peiner Services GmbH


AHLCON READY MIX CONCRETE PVT. LTD.

Period Ending: 03/31/ /31/2015

CONSOLIDATED BALANCE SHEET

SOURCES OF FUNDS SHAREHOLDERS' FUNDS Share capital Reserves and surplus 2 6,323 5,090 6,459 5,225 MINORITY INTEREST 52 -

FINANCIAL STATEMENTS OF UAA (M) SDN BHD BALANCE SHEET. As of Schedule 31 March March As of SOURCES OF FUNDS

SCHEDULE-III CHECKLIST SCHEDULE - III CHECKLIST

MINORITY INTEREST PREFERENCE SHARES ISSUED BY SUBSIDIARY* , , ,318.76

SAIBA Industries Private Limited Financials FY

Command International Software

RELIANCE CLOTHING INDIA PRIVATE LIMITED 1. Reliance Clothing India Private Limited

GENOA JEWELERS LIMITED Consolidated Balance Sheet as at 31st March, 2016

(All amount are stated in Indian Rupees, unless stated otherwise) Particulars I. EQUITY AND LIABILITIES

AUSTIN LAZ & COMPANY PLC

JUBILANT LIEF SCIENCES NV Balance Sheet As at 31st Mar Notes No EUR INR (' In Thousands) EUR INR (' In Thousands)


Reporting Under Revised Schedule VI of. A Comparative Study- Old v/s Revised(2011) CA AKSHAY K GUPTA

Consolidated Financial Statements Consolidated Balance Sheet

SHRENUJ & COMPANY LIMITED

Xchanging Solutions (USA) Inc.

SEGMENT- I: INFORMATION AND PARTICULARS IN RESPECT OF BALANCE SHEET. From (DD/MM/YYYY) To (DD/MM/YYYY)

As at March 31, SOURCES OF FUNDS Shareholders' funds Share capital Reserves and surplus 2 7,362 6,311 7,762 6,706

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

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

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

3. CONSOLIDATED QUARTERLY FINANCIAL STATEMENTS

We have audited the accompanying Balance Sheet of Ruchi Agri Private Limited Company

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS

III. BANKS RECEIVABLES FROM REVERSE REPURCHASE TOTAL ASSETS

III. BANKS RECEIVABLES FROM REVERSE REPURCHASE TOTAL ASSETS

Summary of Consolidated Financial Results for the Year Ended March 31, 2016 (Based on Japanese GAAP)

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

Transcription:

Balance Sheet As At 31st March 2017 Particulars Note March 31, 2017 March 31, 2016 Non Current Assets Property, Plant and Equipment 3 127,486,695 145,048,621 Capital work-in-progress 3 - Investment Property 4 - Goodwill 5 Other Intangible assets 5 396,913,853 425,164,709 Intangible assets under development - Financial Assets (i) Investments 6 17,860 19,150 (ii) Loans 7 (iii) Other Financial Asset 8 158,210 167,573 9 18,791,844 16,361,993 Other non-current assets 10 - Total Non Current Assets 543,368,463 586,762,048 (2) Current Assets Inventories 11 474,400,512 482,630,355 (i) Investments 12 - (i) Trade Receivables 13 357,770,591 372,623,757 (ii) Cash and Cash equivalents 14 980,703 2,012,633 (iii) Bank balances other than above (iv) Loans 15 - (v) Other Financial Assets 16 - Current tax assets Other Current Assets 17 18,272,379 64,646,433 Total Current Assets 851,424,184 921,913,178 Total Assets 1,394,792,647 1,508,675,226 I. EQUITY AND LIABILITIES EQUITY Equity Share Capital 18 225,584,435 1,044,900 Other Equity 19 71,423,981 218,226,744 Total Equity 297,008,416 219,271,644 LIABILITIES Non-Current Liabilities Financial Liabilities (i) Long-term borrowings 20 339,325,000 441,252,000 Provisions 21 - Employee Benefit Obligations 22 - Deferred Tax liabilities (Net) 23 - Government Grants 24 - Total Non-Current Liabilities 339,325,000 441,252,000 Current Liabilities Financial Liabilities (i) Borrowings 25 289,474,590 351,882,002 (ii) Trade payables 26 308,456,592 302,216,592 (iii) Other Financial Liabilities 27 115,371,442 152,746,376 Provisions 28-15,908,284 Employee Benefit Obligations 29 12,744,705 13,724,717 Government Grants 30 - Other Current Liabilities 31 32,411,904 11,673,610 Total Current Liabilities 758,459,232 848,151,581 Total Liabilities 1,394,792,647 1,508,675,225

Statement of Profit & Loss For the Period Ended 31st March, 2017 Particulars Note March 31,2017 March 31,2016 Revenue from operations 32 1,112,703,045 1,178,412,570 Other Income 33 532,436 727,569 Total Revenue 1,113,235,481 1,179,140,139 IV. Expenses: Cost of materials consumed 34 602,145,825 691,021,828 Purchases of Traded goods 35 131,973,877 93,691,442 Changes in Inventories of finished goods work-in-progress and Traded goods 36 (5,635,691) 860,854 Excise duty - Employee benefits Expense 37 240,730,635 208,762,553 Selling, administration and others 38 - Finance Costs 39 22,054,814 28,792,189 Depreciation and Amortisation Expense 10,130,635 10,073,331 Other Expenses 40 84,685,688 76,130,995 Total Expenses 1,086,085,784 1,109,333,193 V. Profit Before Exceptional and Extraordinary items and tax (III-IV) 27,149,697 69,806,947 VI. Exceptional Items - - VII. Profit Before Extraordinary items and tax (V-VI) 27,149,697 69,806,947 VIII. Extraordinary items - - IX. Profit before Tax (VII-VIII) 27,149,697 69,806,947 X. Tax Expense: (1) Current Tax 12,405,502 14,161,521 (2) Deferred Tax 848,846 (1,964,353) XI. Profit/(Loss) for the period from continuing operations (VII-VIII) XII. Profit/(loss) from discontinuing operations 13,895,349 57,609,779 XIII. Tax Expense of discontinuing operations XIV. Profit/(loss) from discontinuing operations (after tax) (XII-XIII) - XV. Profit (loss) for the period (XI+XIV) 13,895,349 57,609,779

3 Property, plant and equipment and Capital Work In Progress Particulars Land Building Plant & Machinery Furniture and Fixtures Vehicle Other Total Gross Block Balance as at 1 April 2015 17,843,252 132,003,922 22,873,704 5,424,947 1,634,710 179,780,534 Additions - 425,804 1,872,977 68,077 - - 2,366,858 Deletions / write off - - - - - - - Transalation differences (1,496,935) (11,089,139) (14,902,095) (1,921,332) (455,118) (137,142) (30,001,761) Balance as at 31 March 2016 19,340,186 143,518,865 16,775,073 24,863,113 5,880,065 1,771,852 212,149,154 Additions - - 868,377 342,316 74,097-1,284,790 Deletions / write off - - 429,472-2,525,166-2,954,638 Transalation differences Balance as at 31 March 2017 19,340,186 143,518,865 17,213,977 25,205,429 3,428,996 1,771,852 210,479,306 Accumulated depreciation Balance as at 1 April 2015-23,712,652 165,542,937 19,713,540 5,294,043 1,634,710 215,897,883 Transition Adjustment For the year - 4,317,638 943,008 66,561-5,327,207 Deletions / write off - - - - - - - Transalation differences - (2,139,969) (14,037,304) (1,686,738) (446,458) (137,142) (18,447,612) Balance as at 31 March 2016-30,170,259 179,580,241 22,343,286 5,807,062 1,771,852 239,672,701 Transition Adjustment (See Note) For the year - 4,370,882 913,156 46,008-5,330,046 Deletions / write off - - 429,472-2,525,167-2,954,639 Transalation differences (1,280,479) (7,320,220) (503,419) (142,752) (6,019) - (9,252,889) Balance as at 31 March 2017 1,280,479 41,861,361 179,654,188 23,399,194 3,333,923 1,771,852 251,300,998 Net Block Balance as on 31 March 2016 19,340,186 113,348,605 (162,805,168) 2,519,827 73,002 - (27,523,547) Balance as on 31 March 2017 18,059,708 101,657,504 (162,440,211) 1,806,235 95,073 - (40,821,692) 5 Intangible Assets Particulars Goodwill Others Total Gross Block Balance as at 1 April 2015 428,272,776 19,678,956 447,951,731 Additions - 1,775,882 1,775,882 Deletions / write off - - - 6,908,193 (1,712,894) 5,195,300 Balance as at 31 March 2016 421,364,583 23,167,732 444,532,314 Additions - 430,908 430,908 Deletions / write off - - - Transalation differences Balance as at 31 March 2017 421,364,583 23,598,640 444,963,222 Accumulated depreciation Balance as at 1 April 2015 17,423,364 17,423,364 Transition Adjustment - For the year 466,263 466,263 Deletions / write off - (1,477,978) (1,477,978) Balance as at 31 March 2016-19,367,605 19,367,605 Transition Adjustment (See Note) For the year 536,842 536,842 Deletions / write off Transalation differences (27,897,752) (247,170) (28,144,922) Balance as at 31 March 2017 27,897,752 20,151,618 48,049,369 Net Block Balance as on 31 March 2016 421,364,583 3,800,127 425,164,709 Balance as on 31 March 2017 393,466,831 3,447,022 396,913,853

Investment Property 4 - - Non Current investments (b) Investments in Equity Instruments (60) (i) Investment in other Bodies corporate 17,919 19,150 6 17,860 19,150 Loans 7 - - Other financial assets Security Deposits : Unsecured, considered good 158,210 167,573 Total 8 158,210 167,573 Deferred Tax Assets (Net) 9 18,791,844 16,361,993 Other Non-Current Assets 10 - - Inventories (a) Raw Materials 256,084,214 272,743,912 (b) Work-in-progress 97,354,210 100,880,180 (c) Finished goods 120,962,088 109,006,263 11 474,400,512 482,630,355 Current Investments 12 - - Trade Receivables Trade receivables outstanding for a period less than six months from the date they are due for payment - Unsecured considered good 364,560,453 371,419,683 8,575,543 355,984,910 371,419,683 Trade receivables outstanding for a period more six months from the date they are due for payment - Unsecured considered good 1,785,681 1,204,074 Total 13 357,770,591 372,623,757 Cash and Cash equivalents (a) Cash on hand 275,461 276,213 (b) Cheques,drafts on hand - - (c) Balance with banks - - (c) Balance with banks 705,242 1,736,420 14 980,703 2,012,633 Loans (Current) 15 - - Other Financial Assets 16 - - Other Current Assets Prepaid expenses 5,210,213 22,752,879 Input tax credit receivable 1,563,361 5,209,406 Advance income tax ( Net of provision for tax ) 2,221,591 34,114,356 Advance to suppliers 2,740,773 2,569,792 VAT receivable 6,536,442 - Total 17 18,272,379 64,646,433 Share Capital a. Authorized - - b. Issued, Subscribed and Paid-Up - - Number of shares issued Previous Year: - - Nominal value of the shares Previous Year: 225,584,435 1,044,900 Total 18 225,584,435 1,044,900 Other Equity Reserves & Surplus - - Opening balance 79,870,189 104,110,690 Net Profit/(Net Loss) for the current year 13,895,349 14,102,077 Share Application Money - 101,607,380 (d) Foreign currency translation reserve account - - Opening balance (1,593,331) (8,078,683) Add : Adjustment for the year (20,748,226) 6,485,280 19 71,423,981 218,226,744

Borrowings (Non Current) (b) Term Loans From Banks 20 339,325,000 441,252,000 Provisions 21 - - Employee Benefit Obligations 22 - - Deferred Tax Liabilities (Net) 23 - - Government Grants 24 - - Borrowings (Current) Loans repayable on demand - from Banks 289,474,590 268,284,475 Loans and advances from related parties - 83,597,527 Total 25 289,474,590 351,882,002 Trade payables Others 308,456,592 302,216,592 Total 26 308,456,592 302,216,592 Other Financial liabilities (a) Current maturities of long-term debt 96,950,000 106,790,400 (f) Other payable Other liabilities 3,443,443 36,904,229 Accrued Salaries and Benefits 14,977,999 9,051,747 Total 27 115,371,442 152,746,376 Provisions - Provision for taxation ( net of Advance Income tax ) - 15,908,284 Total 28-15,908,284 Employee Benefit Obligations Gratuity 12,744,705 13,724,717 Total 29 12,744,705 13,724,717 Government Grants 30 - - Other Current Liability Statutory payable 29,013,021 3,738,662 Customer and other advance received 3,398,883 7,934,948 Total 31 32,411,904 11,673,610

Revenue from Operations Sale of products (gross of duty) 1,112,703,045 1,178,412,570 Sale of services - Other operating revenues - 32 1,112,703,045 1,178,412,570 Other Income (a) Interest Income Interest received on deposits with banks - 2,587 Interest on others 2,331 4,624 (b) Dividend Income Dividends from subsidiary companies 145 (c) Net gain/(loss) from sale of investments (d) Other non-operating Income - Miscellaneous Income, Net 529,960 720,359 33 532,436 727,569 Cost of material consumed Inventory of materials at the beginning of the year 280,699,456 302,866,740 Purchases 577,530,584 660,899,000 Inventory of materials at the end of the year 256,084,214 272,743,912 34 602,145,825 691,021,828 Purchases of Traded goods 131,973,877 93,691,442 Changes in Inventory Opening inventory - -Finished goods 109,006,263 93,975,226 -WIP 103,674,275 116,772,072 -Stock in Trade - Closing inventory - -Finished goods 120,962,019 109,006,263 -WIP 97,354,210 100,880,180 -Stock in Trade - Changes in inventory 36 (5,635,691) 860,854 Employee Benefit Expenses (a) Salaries and incentive Salaries and bonus 227,027,610 197,491,801 Managerial remuneration 13,273,023 10,879,979 (b) Contribution to - (f) Staff welfare expenses 430,001 390,772 37 240,730,635 208,762,553 SELLING, ADMINISTRATION AND OTHERS 38 - - FINANCE COSTS (a) Interest Expenses 22,054,814 28,792,189 39 22,054,814 28,792,189 OTHER EXPENSES Payment to the auditors 3,026,767 2,963,858 Consumption of stores and spare parts 3,132,362 3,111,177 Warranty expenses 114,475 119,434 Subscription & Membership 916,564 813,996 Travelling & conveyance 8,065,939 4,859,060 Communication expenses 1,517,855 1,409,645 Professional and Legal charges 8,901,308 6,177,154 Power and fuel 7,556,954 6,342,959 Rent 3,352,724 3,062,998 Repairs - Building 763,377 851,132 Repairs - Plant and machinery 3,051,375 3,244,108 Repairs - Others 959,264 779,100 After sales expenses 2,202,352 1,544,567 Bad debts / advances written off 1,300,190 1,035,034 Insurance 8,343,280 7,371,960 Printing and stationery 1,742,225 1,952,148 Rates and taxes excluding Taxes on Income inclu license fees 2,047,289 1,983,785 Bank Charges 2,806,559 3,115,458 Commission & discounts 3,154,423 8,422,535 Packing & Forwarding 7,116,731 6,540,970 Advertisement & Publicity 9,256,722 3,768,111 Entertainment expenses 308,592 340,196 Transport charges 160,144 (1,331,052) Miscellaneous expenses 4,940,763 5,908,352 Net Loss on foreign currency transaction and translation (other than considered as finance cost) (52,548) 1,744,310 40 84,685,688 76,130,995