Balance Sheet As at March 31, 2015: (Rs. Million)
Balance Sheet As at March 31, 2015: (Rs. Million)
Balance Sheet As at March 31, 2015: (Rs. Million)
com
BALANCE SHEET AS AT MARCH 31, 2015
(Rs. million)
Note As At March 31, 2015 As At March 31
Shareholders Funds
Share Capital 3 1,004.60 1,003.47
Reserves and Surplus 4 13,321.24 9,489.31
Share application money pending allotment 5 -
Non-current Liabilities
Long-term Borrowings 6 12,786.03 13,353.62
Deferred Tax Liabilities (Net) 7 1,121.44 925.53
Other Long-term Liabilities 8 5.11
Long-term Provisions 9 1,107.77 980.35
Current liabilities
Short-term Borrowings 10 7,380.95 8,123.69
Trade Payables 11 5,078.15 4,298.94
Other Current Liabilities 12 5,541.43 2,793.69
Short-term Provisions 13 921.88 432.97
Total 48,268.60 41,405.79
Assets
Non-current Assets
Fixed Assets
Tangible Assets 14 18,955.76 12,505.67
Intangible Assets 15 31.12
Capital Work-in-Progress 1,533.50 5,239.35
Non-current Investments 16 6,163.43 7,069.14
Long-term Loans and Advances 17 1,217.82 1,212.87
Other Non-current Assets 18 134.47 896.51
Current Assets
Current Investments 19 896.08 435.23
Inventories 20 7,816.80 6,872.30
Trade Receivables 21 3,866.03 2,183.03
Cash and Bank Balances 22 2,666.24 1,916.22
Short-term Loans and Advances 23 4,126.21 2,393.07
Other Current Assets 24 861.14 647.08
102
CASH FLOW STATEMENT
FOR THE YEAR ENDED MARCH 31, 2015
(Rs. million)
For the Year Ended For the Year Ended
March 31, 2015 March 31, 2015
1,003.47
9,489.31
0.52
13,353.62
925.53
3.70
980.35
8,123.69
4,298.94
2,793.69
432.97
41,405.79
12,505.67
35.32
5,239.35
7,069.14
1,212.87
896.51
435.23
6,872.30
2,183.03
1,916.22
2,393.07
647.08
41,405.79
Year ended March 31,
2014
35,364.63
52.60
35,312.03
1,036.24
36,348.27
19,717.89
69.74
(1,034.00)
2,342.69
1,439.14
6,227.92
7,138.56
35,901.94
446.33
1,575.25
(1,427.28)
298.36
2.98
2.98
For the Year Ended
March 31, 2014
446.33
6,227.92
(87.88)
(1.44)
0.08
(27.84)
(8.74)
52.80
(207.56)
1,439.14
7,386.48
7,832.81
(1,046.19)
1,960.58
(1,772.18)
(1,292.27)
(2,150.06)
5,682.75
(140.23)
5,542.52
(7,178.06)
23.56
-
(201.77)
(2,408.70)
8.74
129.92
(9,626.31)
11.90
-
6,210.86
(200.40)
(34.06)
(1,666.45)
4,321.85
238.06
1,279.77
1,517.83
238.06
ailable for use by the Company as these are earmarked for the repayment of borrowings.