Amal Ltd 2019-20

85 ( ` lakhs ) Note 14 Trade payables As at March 31, 2020 As at March 31, 2019 a) Total outstanding dues of micro enterprises and small enterprises (refer Note 26.12) 0.14 0.30 b) Total outstanding dues of creditors other than micro enterprises and small enterprises i) Related party (refer Note 26.3) 38.17 17.85 ii) Others 200.49 173.48 238.80 191.63 ( ` lakhs ) Note 15 Contract liabilities As at March 31, 2020 As at March 31, 2019 Advances received from customers 0.93 1.06 0.93 1.06 ( ` lakhs ) Note 16 Other current liabilities As at March 31, 2020 As at March 31, 2019 Statutory dues 25.55 54.02 25.55 54.02 ( ` lakhs ) Note 17 Revenue from operations 1 2019-20 2018-19 Sale of chemicals 2,926.68 3,032.83 Sale of steam 320.33 231.53 Revenue from contracts with customers 3,247.01 3,264.36 Other operating revenue: Scrap sales | Other revenue 12.98 22.71 3,259.99 3,287.07 1 Contracts with customers are for short-term, at an agreed price basis having contracted credit period ranging upto 90 days. These contracts are mainly for sale of chemical products and steam besides sale of scrap and other goods. Delivery of goods are at ex-works. The contracts do not grant for any right to return to the customer. Returns of goods are accepted by the Company only on exception basis. Notes to the Financial Statements

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