|
|
|
|
Balance Sheet 2009 |
|
|
KANISH STEEL INDUSTRIES LIMITED, BALANCE SHEET AS ON 31ST MARCH 2009 |
|
|
|
|
Schedule |
AS AT
31.03.2009
(Amount in Rs.) |
AS AT
31.03.2008
(Amount in Rs.) |
SOURCES OF FUNDS |
|
|
|
A. SHAREHOULDERS FUND |
|
|
|
|
Share Capital |
A |
284.656,570 |
284.656,570 |
|
Reserves & Surplus |
B |
528,897,984 |
497,538,579 |
B. LOAN FUNDS |
|
|
|
|
Secured Loans |
C |
226,152,092 |
282,007,301 |
|
Unsecured Loans - License Deposit |
|
239,770,000 |
-- |
C. DEFERRED TAX LIABILITY (NET) |
|
186,667,221 |
122,593,915 |
|
|
---------------------- |
---------------------- |
|
|
1,466,143,867 |
1,186,796,365 |
|
|
---------------------- |
---------------------- |
APPLICATION OF FUNDS |
|
|
|
D. FIXED ASSETS |
D |
|
|
|
Gross Block |
|
1,265,525,740 |
926,673,569 |
|
Less: Depriciation |
|
257,257,146 |
204,009,528 |
|
Net Block |
|
1,008,268,594 |
722,664,041 |
|
Capital Work in Progress |
|
-- |
224,640,341 |
E. INVESTMENTS |
E |
20,620,200 |
18,120,200 |
F. CURRENT ASSETS, LOANS AND ADVANCES: |
F |
|
|
|
Inventories |
|
528,418,694 |
400,775,195 |
|
Sundry Debtors |
|
156,991,829 |
273,415,170 |
|
Cash & Bank Balances |
|
6,214,541 |
57,667,285 |
|
Loans & Advances |
|
212,134,065 |
192,300,921 |
|
|
---------------------- |
---------------------- |
|
|
903,759,129 |
924,158,571 |
|
|
---------------------- |
---------------------- |
G. LESS: CURRENT LIABILITIES & PROVISIONS |
G |
|
|
|
Current Liabilities |
|
452,826,333 |
648,899,418 |
|
Provisions |
|
13,677,723 |
53,887,371 |
|
|
---------------------- |
---------------------- |
|
|
466,504,056 |
702,786,789 |
|
|
---------------------- |
---------------------- |
NET CURRENT ASSETS |
|
437,255,072 |
221,371,783 |
|
|
---------------------- |
---------------------- |
|
|
1,466,143,866 |
1,186,796,365 |
|
|
---------------------- |
---------------------- |
PROFIT & LOSS ACCOUNT FOR THE YEAR ENDED 31ST MARCH 2009 |
|
Schedule |
AS AT
31.03.2009
(Amount in Rs.) |
AS AT
31.03.2008
(Amount in Rs.) |
I. INCOME |
|
|
|
|
Income (Gross) |
H |
4,052,325,709 |
4,477,769,737 |
|
Less: Excise Duty |
|
312,250,622 |
354,505,848 |
|
Sales (Net) |
|
3,740,075,087 |
4,123,263,889 |
|
Other Income |
|
46,201,566 |
33,890,574 |
|
|
---------------------- |
---------------------- |
|
Total |
|
3,786,276,653 |
4,157,154,463 |
|
|
---------------------- |
---------------------- |
II. EXPENDITURE |
|
|
|
|
Material and Manufacturing Expenses |
I |
3,518,121,231 |
3,877,325,192 |
|
Payment & Provisions to Employees |
J |
6,742,179 |
5,603,410 |
|
Repairs and Maintenance |
K |
25,031,555 |
19,100,178 |
|
Financial Expenses |
L |
45,701,512 |
44,842,262 |
|
Administrative Expenses |
M |
26,067,881 |
22,577,883 |
|
Director's Expenses |
|
2,496,000 |
306,000 |
|
|
---------------------- |
---------------------- |
|
Total |
|
3,624,160,358 |
3,969,754,925 |
|
|
---------------------- |
---------------------- |
|
Profit before Depreciation |
|
162,116,295 |
187,399,538 |
|
Less: Depreciation |
|
48,407,442 |
33,240,125 |
|
Profit after Depreciation before tax |
|
113,708,853 |
154,159,413 |
|
Taxation for the Year |
Current Tax |
|
13,209,123 |
33,429,000 |
|
|
Deferred Tax |
|
46,807,821 |
11,097,275 |
|
|
Fringe Benefit Tax |
|
468,600 |
497,100 |
|
Profit after Tax |
|
53,223,309 |
109,136,039 |
|
Taxation adjustments of previous years |
|
-- |
6,367,547 |
|
Reversal of excess provision of earlier years |
|
241,755 |
-- |
|
Balance Brought Forward from last year |
|
260,069,715
313,534,779 |
174,477,400
289,980,986 |
|
Proposed Dividend & Interim Dividend Paid |
|
-- |
17,061,644 |
|
Dividend Tax |
|
-- |
2,899,626 |
|
Transfer to General Reserve |
|
-- |
9,950,000 |
|
Balance carried forward to Balance Sheet |
|
313,534,779 |
260,069,715 |
|
Earnings Per Share (Basic and Diluted) |
|
1.87 |
3.84 |
Note on Accounts |
N |
|
|
|
|
|
|
|
|
|
|
|
|