Amal Ltd 2020-21
141 ( ` lakhs ) Note 15 Other current liabilities As at March 31, 2021 As at March 31, 2020 Statutory dues 41.37 25.55 Other liabilities 0.85 0.93 42.22 26.48 ( ` lakhs ) Note 16 Revenue from operations 1 2020-21 2019-20 Sale of chemicals 2,718.29 2,926.68 Sale of steam 314.89 320.33 Revenue from contracts with customers 3,033.18 3,247.01 Other operating revenue: Scrap sales | Other revenue 8.86 12.98 3,042.04 3,259.99 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. The contracts do not grant for any rights to return to the customers. Return of goods are accepted by the Group only on exceptional basis. Reconciliation of revenue from contracts with customers recognised at contract price: ( ` lakhs ) Particulars 2020-21 2019-20 Contract price 3,033.34 3,247.10 Adjustments for: Consideration payable to customers - discounts 1 (0.16) (0.09) Revenue from contract with customers 3,033.18 3,247.01 1 Consideration payable to customers like discounts and price reductions offered to customers are estimated on specific identified basis and reduced from the contract price when the Group recognises revenue from the transfer of the related goods or services to the customer, and the entity pays or promises to pay the consideration. ( ` lakhs ) Note 17 Other income 2020-21 2019-20 Income from investments in mutual funds measured at FVPL 76.67 13.56 Income on revaluation of investments measured at FVPL 40.67 - Dividends income from investments measured at FVPL 0.52 90.07 Interest from others 5.20 2.23 Gain on disposal of property, plant and equipment - 66.71 Miscellaneous income 1.40 1.15 124.46 173.72
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