NIIT Technologies Inc., USA. Cash flow statement for the Year ended 31st March 2010

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

NIIT TECHNOLOGIES LTD. CANADA. Balance Sheet as at 31st March Notes As at As at PARTICULARS 31st March st March 2011

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

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

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

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

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

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

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

Transcending Geographies. Driving Innovation.

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

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

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

As at 31 March, Notes No

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

As at March 31, SOURCES OF FUNDS Shareholders' funds Share capital Reserves and surplus 2 7,364 6,065 7,764 6,460

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

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

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

Persistent Systems Malaysia Sdn. Bhd.

As at. As at 31-Mar-17

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

Xchanging Solutions (USA) Inc.

As at 31 March, Notes No CHF INR (' In Thousands)

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

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

NORTH KARANPURA TRANSMISSION COMPANY LIMITED ANNUAL ACCOUNTS FOR THE FY

WIPRO TECHNOLOGY CHILE SPA FINANCIAL STATEMENTS

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

SAKTHI AUTO COMPONENT LIMITED BALANCE SHEET AS AT

AHLCON READY MIX CONCRETE PVT. LTD.

Balance Sheet as at March 31, 2010

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

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

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

WIPRO TECHNOLOGIES SA FINANCIAL STATEMENTS

(All amount in INR in. (All Amount in USD Thousand) March 31, 2018 March 31, 2018 March 31, 2017

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS

PASCHIM GUJARAT VIJ COMPANY LIMITED

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)

Wipro Technologies SRL

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

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule September 30, 2004 September 30, 2003 March 31, 2004

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

Schedules to Balance Sheet

MOSER BAER INDIA LIMITED BALANCE SHEET AS AT MARCH 31, 2011

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

RICO AUTO INDUSTRIES LIMITED FINANCIALS OF SUBSIDIARY COMPANIES

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

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule March 31, 2009 March 31, 2008

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

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

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at March 31, Schedule

SCANDENT GROUP INC., USA

CONSOLIDATED FINANCIAL STATEMENTS OF INFOSYS TECHNOLOGIES LIMITED AND ITS SUBSIDIARY

Cramlington Precision Forge Limited

GRUSAMAR ALBANIA SHPK ANNUAL REPORT

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

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule March 31, 2007 March 31, 2006

Persistent Systems Israel Ltd. CONDENSED BALANCE SHEET AS AT SEPTEMBER 30, 2016

Annual Report. Principal Pnb Asset Management Company Private Limited

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

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule December 31, 2007 March 31, 2007

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

SOURCES OF FUNDS SHAREHOLDERS' FUNDS CAPITAL RESERVES AND SURPLUS 2 3, , SECURED LOANS 3 1, ,044.

SOURCES OF FUNDS SHAREHOLDERS' FUND CAPITAL RESERVES AND SURPLUS 2 3, SECURED LOANS 3 1, DEFERRED TAX LIABILITY 169.

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule September 30, 2008 March 31, 2008

Persistent Systems France SAS

3i Infotech Trusteeship Services Limited Balance Sheet as at March 31, 2015 (Amount in `) Note No.

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule December 31, 2008 March 31, 2008

WIPRO TECHNOLOGIES S.A DE C.V FINANCIAL STATEMENTS

Oracle Financial Services Software Pte ltd. Directors Report

Shareholders funds (a) Share capital 2.1 4,61,74,000 4,61,74,000 (b) Reserves and surplus 3 (10,13,37,618) (8,96,00,148) (1,17,37,470)

PARTICULARS SCHEDULE As at

Vidya Mandir Classes Limited Balance Sheet as at

WIPRO GALLAGHER SOLUTIONS INC

SHRENUJ & COMPANY LIMITED

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedule March 31, 2006 March 31, 2005

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

LOCUZ ENTERPRISE SOLUTIONS LIMITED 401, Krishe Sapphire, Main Road, Madhapur, Hyderabad

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

TATA CONSULTANCY SERVICES LIMITED UNAUDITED CONDENSED BALANCE SHEET UNDER INDIAN GAAP (EXCLUDING SUBSIDIARIES) AS AT SEPTEMBER 30,2004

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

PARBATI KOLDAM TRANSMISSION COMPANY LIMITED ANNUAL ACCOUNTS FOR THE FY

INFOSYS TECHNOLOGIES LIMITED in Rs. crore Balance Sheet as at Schedules March 31, 2002 March 31, 2001

Vidya Mandir Classes Limited Balance Sheet as at

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

Vidya Mandir Classes Limited Balance Sheet as at

Non-current liabilities Borrowings Total liabilities Net assets

Gener8 Digital Media Services Limited

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

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

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

Aepona Limited CONDENSED BALANCE SHEET AS AT MARCH 31, 2016

BHARAT SANCHAR NIGAM LIMITED PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDED 31 ST MARCH 2009

Command International Software

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

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

Bank Balance Sheets Sources and Uses of Funds of Bank. Samir K Mahajan

Transcription:

Year ended Year ended 31st March 2010 31st March 2009 US$ US$ A. Cash flow from operating activities: Net profit before tax (9,988,980) #REF! Adjustments for: Depreciation and Amoritsation 4,317 33,461 Provision for diminution in value of Investment - 1,450,000 Interest Income 39,635 (58,562) (Profit)/Loss on Fixed Assets sold/written off - 2,234 Bad Debts Provision/Write off #REF! 183,013 Provision for Leave Encashment #REF! (15,468) #REF! #REF! Adjustments for changes in working capital : - (INCREASE)/DECREASE in Sundry Debtors #REF! 4,114,017 - (INCREASE)/DECREASE in Other Receivables #REF! (85,054) - (INCREASE)/DECREASE in Loan & Advances #REF! 175,084 - INCREASE/(DECREASE) in Trade and Other Payables #REF! (5,481,245) Cash generated from operations #REF! #REF! - Taxes paid #REF! (816,450) Net cash from operating activities (A) #REF! #REF! B. Cash flow from Investing activities: NIIT Technologies Inc., USA Cash flow statement for the Year ended 31st March 2010 Loan to Fellow Subsidiary #REF! (50,000) Purchase of fixed assets (162,306) (18,000) Interest income (39,635) 19,483 Net cash used in investing activities (B) #REF! (48,517) Net Increase/(Decrease) in Cash & Cash Equivalents (A)+(B) #REF! #REF! Cash and cash equivalents as at the beginning of the year #REF! 2,366,468 Cash and cash equivalents as at the end of the year 473,507 3,339,321 NOTES: 1 Cash and cash equivalents comprise Cheques in Hand - 3,908 Balance with Banks 473,507 3,335,413 473,507 3,339,321 2 The above cash flow statement has been prepared under the indirect method set out in Accounting Standard-3 notified u/s 211(3C) of the Companies Act, 1956. 3 The Schedules 1 to 17 form an integral part of the Cash flow statement This is the Cash flow referred to in our report of even date For Price Waterhouse Firm Registration No. Chartered Accountants H. Singh Arvind Thakur Lalit Kumar Dhingra Partner Director Director Membership No:- F-86994 Place : Gurgaon Date : 3rd May 2009

NIIT Technologies Healthcare Inc Balance Sheet as at 31st March, 2011 SOURCES OF FUNDS Schedule No. / As At Note Reference 31st March 2011 SHAREHOLDERS' FUNDS Share Capital 1 2,235,000 Reserves and Surplus 2 (9,797,647) (7,562,647) LOAN FUNDS Unsecured Loans 8,880,000 APPLICATION OF FUNDS 1,317,353 FIXED ASSETS 3 Gross Block 162,306 Less: Depreciation /Amortisation 4,242 Net Block 158,064 CURRENT ASSETS, LOANS AND ADVANCES Sundry Debtors 4 444,000 Cash and Bank Balances 5 473,507 Loans and Advances 6 1,427,345 2,344,852 Less : CURRENT LIABILITIES AND PROVISIONS Current Liabilities 7 844,571 Provisions 8 340,992 1,185,563 Net Current Assets 1,159,289 NOTES TO ACCOUNTS 14 1,317,353 The Schedules referred to above form an integral part of the Balance Sheet This is the Balance Sheet referred to in our report of even date For Ghosh Khanna & Co. Chartered Accountants Firm Registration No.: Rohit Kohli Partner Membership No. F- 86994 Lalit Kumar Dhingra (Director) Place : New Delhi Place : Atlanta, USA Date : 3rd May 2011 Date : 3rd May 2011

NIIT Technologies Healthcare Inc Profit and Loss Account for the year ended 31st March, 2011 PARTICULARS Schedule No. / Year ended Note Reference 31st March 2011 INCOME Revenue from Operations 451,800 Other Income 9 (39,635) EXPENDITURE 412,165 Personnel 10 6,994,080 Development Expenses 11 80,063 Administration, Finance and Others 12 1,986,059 Marketing 13 1,336,626 Depreciation and amortisation 3 4,317 10,401,145 Profit before Tax - Current tax - - Deferred Charge / (Credit) - Profit after Tax (9,988,980) - (9,988,980) Add : brought forward from last year - Balance Transferred to Balance Sheet (9,988,980) Basic Earnings per share 14(4) -4.47 NOTES TO ACCOUNTS 14 The Schedules referred to above form an integral part of the Profit and Loss Account This is the Profit and Loss Account referred to in our report of even date For Ghosh Khanna & Co. Chartered Accountants Firm Registration No.: Rohit Kohli Partner Membership No. F- 86994 Lalit Kumar Dhingra (Director) Place : New Delhi Place : Atlanta, USA Date : 3rd May 2011 Date : 3rd May 2011

Schedule No. 31st March, 2011 1. SHARE CAPITAL NIIT Technologies Healthcare Inc Schedules annexed to and forming part of the Balance Sheet as at March 31,2011 As At Authorised Share Capital Issued, subscribed and Paid-up Capital 2,235,000 2. RESERVES AND SURPLUS 2,235,000 Profit and Loss Account (9,988,980) Add:- Transferred from Profit & Loss Account 191,333 (9,797,647)

NIIT Technologies Healthcare Inc., USA Schedules annexed to and forming part of the Balance Sheet as at 31st March, 2011 Contd.] Schedule No.- 3 [Refer Note 1 (i), (ii) & (iii) of Schedule 16] G R O S S B L O C K D E P R E C I A T I O N N E T B L O C K Description of Fixed Assets 1st April 2010 Additions during the Year Sales / Adj. during the Year 31st March 2011 1st April 2010 For the Year Sales / Adj. during the Year 31st March 2011 31st March 2011 31st March 2010 Tangible Plant & Machinery - 162,306-162,306-4,242-4,242 158,064 - (Including Computers) - Total - 162,306-162,306-4,242-4,242 158,064 -

Schedule NIIT Technologies Healthcare Inc.,USA Schedules annexed to and forming part of the Balance Sheet as at 31st March, 2011 [Contd.] No. 31st March, 2011 As At 4 SUNDRY DEBTORS (Unsecured, considered good) Debts outstanding for a period exceeding six months - Considered Good 115,720 Other Debts - Considered Good 328,280 444,000 444,000 5 CASH AND BANK BALANCES Cash and Cheques in Hand - Balances with Scheduled Banks in : - Current Accounts 473,507 473,507 6 LOANS AND ADVANCES (Unsecured, considered good ) Advances recoverable in cash or in kind 22,085 or for value to be received Prepaid Expenses 1,405,260 1,427,345

NIIT Technologies Healthcare Inc.,USA Schedules annexed to and forming part of the Balance Sheet as at 31st March, 2011 [Contd.] Schedule No. 31st March, 2011 As At 9 CURRENT LIABILITIES Sundry Creditors 757,141 Other Liabilities 87,430 844,571 10 PROVISIONS ( Refer 1(x) and (xi) on Schedule 16 ) Provision for Compensated Absences 340,992 Provision for Tax - 340,992

NIIT Technologies Healthcare Inc.,USA Schedules annexed to and forming part of the Profit and Loss Account as at 31st March, 2011 Schedule No. Year ended 31st March, 2011 9 OTHER INCOME Income Received on Deposits (39,635) Others - (39,635) 10 PERSONNEL (Refer Note 1(vi) & 5 on Schedule 14 ) Salaries and Benefits 5,673,754 Welfare and Other Expenses 1,320,326 6,994,080 11 DEVELOPMENT EXPENSES Subcontracting Charges 80,063 80,063

Schedule No. NIIT Technologies Healthcare Inc.,USA Schedules annexed to and forming part of the Profit and Loss Account as at 31st March, 2011 [Contd.] Year ended 31st March, 2011 12 ADMINISTRATION, FINANCE AND OTHERS Rent 428,699 Communication 37,875 Legal and Professional Expenses 976,797 Travelling and Conveyance 518,009 Repairs and Maintenance - Plant and Machinery - - Others 8,662 Sundry Expenses 16,017 1,986,059 13 MARKETING Advertisement and Publicity 1,003,619 Business Promotion Expenses 20,069 Seminar Expenses 312,938 1,336,626