Page 183 - Annual Report 2019-20
P. 183

CONSOLIDATED STATEMENT OF BALANCE SHEET  CONSOLIDATED STATEMENT OF PROFIT AND LOSS                               181
 as at 31  March 2020  for the year ended 31  March 2020
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 (  in crores)                                                                                     (  in crores)
 Particulars   Note No.  As at 31  March 2020  As at 31  March 2019  Particulars   Note No.  For the year ended  For the year ended
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 AssETs                                                                     31  March 2020       31  March 2019
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 1  Non-Current Assets   INCOME
 (a)  Property, Plant and Equipment   4   1,141.95    913.32
 (b) Right of use Assets  5   147.00    -   Revenue from Operations  33           7,294.47            7,077.96
 (c)  Capital Work-In-Progress  4   259.33    242.13   Other Income   34            149.43              146.64     PIDILITE ANNUAL REPORT 2019-20
 (d) Goodwill  6   184.03    184.99   Total Income                                7,443.90            7,224.60
 (e)  Other Intangible Assets  6   333.73    349.30   ExpENsEs
 (f)  Investments accounted for using equity method  7   25.30    24.43
 (g) Financial Assets  Cost of Materials Consumed               35                 2,997.71           3,265.51
 (i)  Investments  8    441.16    371.87   Purchases of Stock-in-Trade              383.57             396.28
 (ii)  Loans  11    4.09    3.06   Changes in inventories of Finished Goods, Work-in-Progress   36   21.22    (75.21)
 (iii)  Other Financial Assets  13    42.85    41.74   and Stock-in-Trade
 (h)  Income Tax Assets (net)   18   109.53    102.06
 (i)  Deferred Tax Assets (net)   53   13.00    10.72   Employee Benefits Expense   37   927.22        836.66
 (j)  Other non-Current Assets   20   72.78    88.89   Finance Costs   38           33.60               26.07
 Total Non-Current Assets    2,774.75    2,332.51   Depreciation, Amortisation and Impairment Expense   39   169.92    132.74
 2  Current Assets   Other Expenses                            40                  1,388.73            1,286.51
 (a)  Inventories   17   929.47    934.45
 (b) Financial Assets  Total Expenses                                              5,921.97           5,868.56
 (i)   Investments   9    719.73    1,151.40   Profit before Share of profit/ (loss) of Associate and     1,521.93    1,356.04
 (ii)   Trade Receivables   10    1,088.50    1,056.01   Joint venture, Exceptional Items and Tax
 (iii)  Cash and Cash Equivalents   15    692.23    128.12   Share of Profit in Associate (net of tax)   42(a)   3.03    3.60
 (iv)  Bank balances other than (iii) above   16    11.02    62.31   Total Share of profit/ (loss) of Associate and Joint Venture    3.03    3.60
 (v)   Loans   12    17.38    12.12
 (vi)  Other Financial Assets   14    103.18    71.61   Profit before Exceptional Items and Tax    1,524.96    1,359.64
 (c)  Current Tax Assets (net)   19    1.93    2.62   Exceptional Items   41         55.19               18.02
 (d) Other Current Assets   21    197.51    163.36   Profit before Tax            1,469.77             1,341.62
 Total Current Assets    3,760.95    3,582.00
  TOTAL ASSETS    6,535.70    5,914.51   Tax Expense
  EQUITY AND LIABILITIEs   Current Tax                          53                 383.99              406.58
  EQUITY     Deferred Tax                                       53                 (36.27)               6.65
 (a)  Equity Share Capital    22    50.81    50.80   Net Tax Expense                347.72              413.23
 (b) Other Equity    23    4,404.80    4,097.29
 Equity attributable to owners of the Company    4,455.61    4,148.09   Profit for the year    1,122.05    928.39
 Non-Controlling Interests   42(b)   215.65    207.15   Attributable to:
 Total Equity    4,671.26    4,355.24   Shareholders of the Company                1,116.42             924.91
  LIABILITIES   non-Controlling Interest                       42(b)                  5.63               3.48
 1  Non-Current Liabilities
 (a)  Financial Liabilities   Other Comprehensive Income
 (i)   Borrowings   24    25.13    8.51   Items that will not be reclassified to profit or loss
 (ii)   Lease Liabilities    54    83.08    -   Remeasurement of Defined Benefit Plan    (14.63)        (6.29)
 (iii)  Other Financial Liabilities    27    7.26    85.98
 (b) Provisions    29    51.95    43.93   Income tax relating to items that will not be reclassified to    3.58    1.83
 (c)  Deferred Tax Liabilities (net)    53    82.29    120.14   profit or loss
 Total Non-Current Liabilities    249.71    258.56   Items that will be reclassified to profit or loss
 2  Current Liabilities   Exchange difference on translation of foreign operation    14.59                7.23
 (a)  Financial Liabilities   Total Other Comprehensive (Loss)/ Income               3.54                 2.77
 (i)   Borrowings   25    143.99    102.54
 (ii)   Trade Payables    26   Attributable to:
 -  Total Outstanding Dues of Micro Enterprise    23.13    31.55   Shareholders of the Company    3.42    2.82
 and Small Enterprises   non-Controlling Interest             42(b)                   0.12              (0.05)
 -  Total Outstanding Dues of Creditors other    597.88    549.09
 than Micro Enterprise and Small Enterprises   Total Comprehensive Income for the year    1,125.59      931.16
 (ii)   Lease Liabilities    54    28.39    -   Attributable to:
 (iii)  Other Financial Liabilities    28    668.74    497.22   Shareholders of the Company    1,119.84    927.73
 (b)  Other Current Liabilities    31    122.34    89.55   non-Controlling Interest    5.75              3.43
 (c)  Provisions    30    21.59    19.79
  8.67
  10.97
 (d)  Current Tax Liabilities (net)    32    6,535.70    1,559.27   Earnings Per Equity Share:  46   21.98    18.20
 PIDILITE ANNUAL REPORT 2019-20  See accompanying notes to the consolidated financial statements    1 to 59   M B PAREKH   See accompanying notes to the consolidated financial statements   1 to 59  M B PAREKH
 Total Current Liabilities
  1,614.73
  1,300.71
             Basic ( )
                                                                                                         18.21
  1,864.44
 TOTAL LIABILITIEs
             Diluted ( )
                                                                                     21.97
  5,914.51
 TOTAL EQUITY AND LIABILITIES
             In terms of our report attached
 In terms of our report attached
                                                                  FOR AND ON BEHALF OF THE BOARD OF DIRECTORS
 For DELOITTE HASKINS & SELLS LLP
 FOR AND ON BEHALF OF THE BOARD OF DIRECTORS
             For DELOITTE HASKINS & SELLS LLP
             Chartered Accountants
 Chartered Accountants
             N. K. JAIN
                                                       BHARAT PURI
 N. K. JAIN
 BHARAT PURI
                                                     Managing Director
 Managing Director
 Partner


                                                       DIn: 02173566
 DIn: 02173566
                                                                                                 DIn: 00180955
 DIn: 00180955
 PRADIP KUMAR MENON
 PUNEET BANSAL
                                                                                               PUNEET BANSAL
 Chief Financial Officer  Executive Chairman   Partner   PRADIP KUMAR MENON                  Executive Chairman
                                                    Chief Financial Officer
                                                                                             Company Secretary
 Company Secretary
 180  Place: Mumbai   Place: Mumbai
 Date: 17  June 2020  Place: Mumbai   Date: 17  June 2020                                        Place: Mumbai
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 Date: 17  June 2020                                                                         Date: 17  June 2020
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