05-03-22 Focal Cma Data
05-03-22 Focal Cma Data
05-03-22 Focal Cma Data
CIN-U74900PB2014PTC039089
As at As at As at As at As at As at As at
Particulars
March 31, 2017 March 31, 2018 March 31, 2019 March 31, 2020 March 31, 2021 March 31, 2022 March 31, 2023
(Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.)
3 Current Liabilities
Short Term Borrowings 224664.00 3820496.96 2322013.68 10000000.00 10000000.00
Trade Payables 536541.00 1142629.16 6801335.63 11054798.00 9612503.93 9500000.00 10925000.00
Other Current Liabilities 1057709.00 2140517.00 4358009.41 10566300.00 5415486.66 2000000.00 800000.00
Short Term Provisions 1773751.51 1643050.00 527800.00 580580.00 145145.00
1,594,250 3,283,146 13,157,761 27,084,645 17,877,804 22,080,580 21,870,145
ASSETS
1 Non - Current Assets
Fixed Assets
- Gross block 1278874.00 2221006.10 3199295.00 3857303.00 2964056.92 3000000.00 4560000.00
- Dep 289112.00 556331.45 812837.00 945246.00 905335.00 1100000.00 1265000.00
Net block 989762.00 1664674.65 2386458.00 2912057.00 2058721.92 1900000.00 3295000.00
Deffered Tax Asset 4655.00 4655.00 100558.67 345633.67 427683.67 391836.22 450611.65
Other Non-Current Assets 2867620.00 2882571.00 2500000.00 2500000.00
994,417 1,669,330 2,487,017 6,125,311 5,368,977 4,791,836 6,245,612
2 Current Assets
Trade Receivables 1334349.00 2702210.73 10585225.97 16707127.92 15254392.35 20000000.00 23000000.00
Cash Bank Balances and Deposits 1120944.00 628512.74 1808690.85 1121380.78 49941.69 500000.00 450000.00
Short Term Loans and Advances 485850.00 2212733.92 88322.10 100000.00 100070.00 2575340.77 1964120.00
Other Current Assets 4314798.84 10852321.82 6396063.83 8000000.00 6050000.00
2,941,143 5,543,457 16,797,038 28,780,831 21,800,468 31,075,341 31,464,120
Year Ended Year Ended Year Ended Year Ended Year Ended Year Ended Year Ended
Particulars March 31, 2017 March 31, 2018 March 31, 2019 March 31, 2020 March 31, 2021 March 31, 2022 March 31, 2023
(Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.) (Amt in Rs.)
REVENUE
Revenue from Operations 12716556.00 31295651.83 40138157.24 50574666.24 24405656.57 55000000.00 63250000.00
Other Income 994.00 9312.04 142243.82 655758.99
EXPENSES
Direct Expenses 643504.00 16631045.60 - - - - -
Employee Benefit Expenses 4181595.00 7596177.00 9185530.05 8571523.42 6589298.00 13750000.00 15812500.00
Interest and Finance Cost 4150.00 7959.40 46415.59 1292157.69 598687.40 1200000.00 1300000.00
Other Expenses 6937524.62 5067437.99 25358548.00 37117573.04 15596826.85 34550000.00 39812500.00
Depriciation and Amortization Expenses 158265.00 267220.00 812837.38 945246.77 905335.00 1100000.00 1265000.00
Profit before Extraordinary Items and Tax 792511.38 1735123.88 4734826.22 2790409.14 1371268.31 4400000.00 5060000.00
Profit Before Tax 792511.38 1735123.88 4734826.22 2790409.14 1371268.31 4400000.00 5060000.00
Tax Expense
Current Tax 237450.00 446793.00 1326958.51 990450.00 322300.00 1320000.00 1518000.00
Deferred Tax -752.00 -95903.67 -245075.00 -82050.00 0.00 0.00
PAT 555813.38 1288330.88 3503771.38 2045034.14 1131018.31 3080000.00 3542000.00
FOCAL SKILL DEVELOPMENT PRIVATE LIMITED
CIN-U74900PB2014PTC039089
Secured Loan - Total 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Term Loan
Commodity pledge Loan
Term Loan - Other FI's / Car Loan
Creditors for Capital Goods
Security from Customers
Unsecured Loan - Total 1584664.00 1884664.00 802209.59 1640000.00 1111000.00 1277650.00 1533180.00
Director 1584664.00 1884664.00 802209.59 1640000.00 1111000.00 1277650.00 1533180.00
Others
TOTAL LOANS 1584664.00 1884664.00 802209.59 1640000.00 1111000.00 1277650.00 1533180.00
TOTAL TERM LIABILITIES 2341310.00 3929640.88 6350957.85 9233782.40 9835800.71 13564247.00 15647766.55
CURRENT LIABILITIES
Bank OD 0.00 0.00 0.00 2000000.00 2000000.00 10000000.00 10000000.00
Sundry Creditors 536541.00 1142629.16 6801335.63 11054798.00 9612503.93 9500000.00 10925000.00
Advance from Customers
Expense Payable
Provisions
Tax Liability
Other Current Liabilities 1057709.00 2140517.00 6356424.92 12617560.44 5721139.82 2802930.00 1136965.00
TOTAL 1594250.00 3283146.16 13157760.55 25672358.44 17333643.75 22302930.00 22061965.00
TOTAL OUTSIDE LIABILITIES 3935560.00 7212787.04 19284055.40 34906140.84 27169444.46 35867177.00 37709731.55
GRAND TOTAL 3935560.00 7212787.04 19284055.40 34906140.84 27169444.46 35867177.00 37709731.55
Gross Fixed Assets 1278874.00 2221006.10 3199295.00 3857303.00 2964056.92 3000000.00 4560000.00
Depreciation 289112.00 556331.45 812837.00 945246.00 905335.00 1100000.00 1265000.00
Capital Work in Progress
Net Fixed Assets 989762.00 1664674.65 2386458.00 2912057.00 2058721.92 1900000.00 3295000.00
CURRENT ASSETS
Cash & Bank Balance 1120944.00 628512.74 1808690.85 1121380.78 49941.69 500000.00 450000.00
Stocks
Debtors - Total 1334349.00 2702210.73 10585225.97 16707127.92 15254392.35 20000000.00 23000000.00
Debtors > 6 months
Debtors < 6 months 1334349.00 2702210.73 10585225.97 16707127.92 15254392.35 20000000.00 23000000.00
Advance to Suppliers
Advance Tax
TDS, VAT, ST, Duties etc. 485850.00 2212733.92 4403120.94 10952321.82 6496133.83 9575341.77 6564121.00
Other Current Assets(Short Term Loans and Advances)
Total Current Assets 2941143.00 5543457.39 16797037.76 28780830.52 21800467.87 30075341.77 30014121.00
Investments in allied concerns and amount of cross holding 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Net Owned funds 756646.00 2044976.88 6256282.88 11675032.88 18556282.88 27350032.88 27350032.88
Unsecured Loans 1584664.00 1884664.00 802209.59 0.00 0.00 0.00 0.00
Total Borrowings 3178914.00 5167810.16 11933597.17 15000000.00 20000000.00 24000000.00 24000000.00
Secured 0.00 0.00 0.00 1000000.00 2000000.00 2000000.00 2000000.00
Unsecured 3178914.00 5167810.16 11933597.17 14000000.00 18000000.00 22000000.00 22000000.00
Total Investments including investment in allied concern 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Total Assets 3935560.00 7212787.04 19284054.43 34906141.19 27169444.46 34867177.99 36259732.65
Out of which net fixed assets 989762.00 1664674.65 2793344.36 4368576.42 6268576.42 7968576.42 7968576.42
Out of which current assets 2941143.00 5543457.39 15391880.27 22301801.00 32283051.00 43376801.00 43376801.00
Out of which non current assets 4655.00 4655.00 4655.00 4655.00 4655.00 4655.00 4655.00
Out of which Intangibles/Loss etc. 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Net Working Capital 1351548.00 2264966.23 4265148.11 7306456.46 12287706.46 19381456.46 19381456.46
Current Ratio 1.84 1.69 1.28 1.12 1.26 1.35 1.36
Debt Equity Ratio 2.09 0.92 0.14 0.22 0.13 0.10 0.11
Term Liability/Adjusted TNW 2.09 0.92 0.13 0.00 0.00 0.00 0.00
TOL/Adjusted TNW 4.20 2.53 1.91 1.28 1.08 0.88 0.88
Operating profit/Sales(%age) 6.23 5.54 13.99 13.76 13.59 13.79 13.79
TOL/TNW 4.20 2.53 1.91 1.28 1.08 0.88 0.88
Long Term sources 2341310.00 3929640.88 7058492.47 11675032.88 18556282.88 27350032.88 27350032.88
Long Term Uses 994417.00 1669329.65 2797999.36 4373231.42 6273231.42 7973231.42 7973231.42
Surplus/ Deficit 1346893.00 2260311.23 4260493.11 7301801.46 12283051.46 19376801.46 19376801.46
Short Term Sources 1594250.00 3283146.16 11131387.58 15000000.00 20000000.00 24000000.00 24000000.00
Short Term Uses 2941143.00 5543457.39 15391880.27 22301801.00 32283051.00 43376801.00 43376801.00
Surplus/ Deficit -1346893.00 -2260311.23 -4260492.69 -7301801.00 -12283051.00 -19376801.00 -19376801.00
Bank Interest 0.00 0.00 0.00 75000.00 200000.00 200000.00 200000.00
PUNJAB NATIONAL BANK
Fund Flow Statement
M/s Focal Skill Development Pvt Ltd
a) Net Profit (after tax) 555813.38 1288330.88 3503771.38 2045034.14 1131018.31 3080000.00 3542000.00
b) Depreciation. 158265.00 267220.00 812837.38 945246.77 905335.00 1100000.00 1265000.00
c) Increase in capital 0.00 0.00 0.00 0.00 0.00 0.00 0.00
d) increase in Term Liabilities 0.00 0.00 0.00 0.00 0.00 0.00 0.00
(including Public deposits)
e) Decrease in
i) Fixed Assets. 0.00 0.00 0.00 0.00 0.00 0.00 0.00
ii) Other Non-Current Assets. 0.00 0.00 0.00 0.00 0.00 0.00 0.00
f) Others.( Misc Exp W/off) 0.00 0.00 0.00 0.00 0.00 0.00 0.00
g) T O T A L. 714078.38 1555550.88 4316608.76 2990280.91 2036353.31 4180000.00 4807000.00
2. U S E S