Amal Ltd | Annual Report 2023-24 (` lakhs) Note 15 Other financial liabilities As at March 31, 2024 As at March 31, 2023 Current Noncurrent Current Noncurrent a) Employee benefits payable 74.74 - 39.92 - b) Security deposits 67.00 - 69.53 - c) Creditors for capital goods 119.03 - 475.35 - 260.77 - 584.80 - (` lakhs) Note 16 Contract liabilities As at March 31, 2024 As at March 31, 2023 a) Advance received from customers 6.66 31.88 6.66 31.88 (` lakhs) Note 17 Other current liabilities As at March 31, 2024 As at March 31, 2023 a) Statutory dues 50.83 50.73 50.83 50.73 (` lakhs) Note 18 Revenue from operations1 2023-24 2022-23 Sale of products Sale of chemicals 6,111.12 5,140.81 Sale of steam 2,489.43 952.28 Revenue from contracts with customers 8,600.55 6,093.09 Other operating revenue: Scrap sales | Other revenue 8.83 20.79 Sale of services - 17.70 8,609.38 6,131.58 1Contracts with customers are for short-term, at an agreed price basis having contracted credit period ranging up to 90 days. These contracts are mainly for the sale of chemical products and steam besides the sale of scrap and other goods. The contracts do not grant any rights to return to the customers. Return of goods is accepted by the Group only on exceptional basis.
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