(Rs.in Million) |
Particulars | Mar 2023 | Mar 2022 |
INCOME : | | |
Gross Sales | 34953.10 | 25806.80 |
Sales | 31777.30 | 23466.70 |
Job Work/ Contract Receipts | | |
Processing Charges / Service Income | 2895.40 | 2126.80 |
Revenue from property development | | |
Other Operational Income | 280.40 | 213.30 |
Less: Excise Duty | | |
Net Sales | 34442.50 | 25433.50 |
EXPENDITURE : | | |
Increase/Decrease in Stock | 0.20 | -60.20 |
Raw Material Consumed | 21965.30 | 16493.40 |
Opening Raw Materials | 1052.80 | 812.10 |
Purchases Raw Materials | 22054.30 | 16734.10 |
Closing Raw Materials | 1141.80 | 1052.80 |
Other Direct Purchases / Brought in cost | | |
Other raw material cost | 0.00 | 0.00 |
Power & Fuel Cost | 249.30 | 190.80 |
Electricity & Power | 249.30 | 190.80 |
Oil, Fuel & Natural gas | 0.00 | 0.00 |
Coals etc | 0.00 | 0.00 |
Other power & fuel | 0.00 | 0.00 |
Employee Cost | 3767.20 | 3286.90 |
Salaries, Wages & Bonus | 3306.20 | 2853.30 |
Contributions to EPF & Pension Funds | 163.40 | 205.40 |
Workmen and Staff Welfare Expenses | 297.60 | 228.20 |
Other Employees Cost | 0.00 | 0.00 |
Other Manufacturing Expenses | 1621.80 | 1237.70 |
Sub-contracted / Out sourced services | | |
Processing Charges | | |
Repairs and Maintenance | 146.90 | 146.50 |
Packing Material Consumed | | |
Other Mfg Exp | 1474.90 | 1091.10 |
General and Administration Expenses | 1172.90 | 904.20 |
Rent , Rates & Taxes | 107.50 | 115.60 |
Insurance | 18.20 | 15.70 |
Printing and stationery | 202.30 | 170.20 |
Professional and legal fees | 592.30 | 427.80 |
Traveling and conveyance | 126.10 | 78.40 |
Other Administration | 252.60 | 174.80 |
Selling and Distribution Expenses | 854.80 | 730.60 |
Advertisement & Sales Promotion | | |
Sales Commissions & Incentives | | |
Freight and Forwarding | 761.60 | 620.00 |
Handling and Clearing Charges | 0.00 | 0.00 |
Other Selling Expenses | 93.30 | 110.60 |
Miscellaneous Expenses | 107.40 | 124.70 |
Bad debts /advances written off | | |
Provision for doubtful debts | 68.90 | 25.90 |
Losson disposal of fixed assets(net) | | |
Losson foreign exchange fluctuations | | 43.00 |
Losson sale of non-trade current investments | | |
Other Miscellaneous Expenses | 38.40 | 55.80 |
Less: Expenses Capitalised | | |
Total Expenditure | 29738.90 | 22908.10 |
Operating Profit (Excl OI) | 4703.60 | 2525.50 |
Other Income | 669.80 | 375.30 |
Interest Received | 525.20 | 186.80 |
Dividend Received | | |
Profit on sale of Fixed Assets | 2.20 | |
Profits on sale of Investments | 54.90 | 188.20 |
Provision Written Back | | |
Foreign Exchange Gains | 87.60 | |
Others | 0.00 | 0.40 |
Operating Profit | 5373.40 | 2900.80 |
Interest | 56.70 | 19.00 |
InterestonDebenture / Bonds | | |
Interest on Term Loan | | |
Intereston Fixed deposits | | |
Bank Charges etc | | |
Other Interest | 56.70 | 19.00 |
PBDT | 5316.70 | 2881.70 |
Depreciation | 1047.80 | 924.30 |
Profit Before Taxation & Exceptional Items | 4269.00 | 1957.40 |
Exceptional Income / Expenses | | |
Profit Before Tax | 4269.00 | 1957.40 |
Provision for Tax | 1092.20 | 536.70 |
Current Income Tax | 1128.30 | 643.40 |
Deferred Tax | -36.00 | -106.70 |
Other taxes | 0.00 | 0.00 |
Profit After Tax | 3176.70 | 1420.70 |
Extra items | 0.00 | 0.00 |
Minority Interest | | |
Share of Associate | | |
Other Consolidated Items | | |
Consolidated Net Profit | 3176.70 | 1420.70 |
Adjustments to PAT | | |
Profit Balance B/F | 18567.80 | 17391.10 |
Appropriations | 21744.50 | 18811.80 |
General Reserves | | |
Proposed Equity Dividend | | |
Corporate dividend tax | | |
Other Appropriation | 226.30 | 244.00 |
Equity Dividend % | 260.00 | 240.00 |
Earnings Per Share | 167.00 | 75.00 |
Adjusted EPS | 167.00 | 75.00 |