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VISA Steel Limited Annual Report 2007-08

VISA Steel Limited Annual Report 2007-08

VISA Steel Limited Annual Report 2007-08

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Ghotaringa Minerals <strong>Limited</strong>CASH fLOW sTATEMENTfor the year ended 31 March, 20<strong>08</strong>Ghotaringa Minerals <strong>Limited</strong>balance sheet abstractand company’s general Business profileCASH FLOW FROM OPERATING ACTIVITIES(Amount in Rs.)Year ended Year ended31 March 20<strong>08</strong> 31 March <strong>2007</strong>Net profit/(loss) before Tax and extraordinary items 46558.15 149852.95Operating profit/(loss) before working capital changes 46558.15 149852.95Adjustments for changes in working capital :(Increase)/Decrease in Other Current Assets 188947.00 (152057.00)(Increase)/Decrease in Loans and Advances (64959.00) 1351500.00Increase/(Decrease) in Current liabilities and Provisions 12802.00 117804.00(Excluding provision for taxation)Increase in Provision for taxationNet Cash Flow from Operating Activities A 183348.15 1467099.95CASH FLOW FROM INVESTING ACTIVITIESExpenditure on Capital Work-in-Progress (1615999.00) (3806500.00)Net Cash Flow from Investing activities B (1615999.00) (2706500.00)CASH FLOW FROM FINANCING ACTIVITIESIncrese in share Capital – –Net Cash Flow from financing activities C NIL NILNet increase/decrease in cash and cash equivalents (A+B+C) (1432650.85) (2339400.05)Opening Balance of cash and cash equivalents 5415733.83 7755133.88Closing Balance of cash and cash equivalents 3983<strong>08</strong>2.98 5415733.83Notes :(1) The above Cash Flow Statement has been compiled from and is based on the Balance Sheet as at 31 March 20<strong>08</strong> andthe related Profit and Loss Account for the year ended on that date.(2) The above cash Flow Statement has been prepared under ‘indirect Method’ as set out in Accounting Standard (AS-3) on “Cash Flow Statement”,issued by the Institute of Chartered Accountants of India and reallocations required for this purposeare as made by the company.(3) Figures in Parenthesis represents outflows.Previous year’s figures have been re-grouped, whereever necessary, to conform to current year’s presentations.I. REGISTRATION DETAILSRegistration No. : 7 3 4 8 State Code : 1 5Balance Sheet Date : 3 1 0 3 2 0 0 8Date Month YearII. CAPITAL RAISED DURING THE YEAR (Amount in Rs. Thousands)Public Issue : N I L Right Issue : N I LBonus Issue : N I L Private Placement : N I LIII. POSITION OF MOBILISATION AND DEPLOYMENT OF FUNDS (Amount in Rs. Thousands)Total Liabilities : 1 0 0 0 0 Total Assets : 1 0 0 0 0Sources of FundsPaid-up Capital : 1 0 0 0 0 Reserves & Surplus : (-) 1 2 0Secured Loans : N I L Unsecured Loans : N I LDeferred Taxation : N I LApplication of FundsNet Fixed Assets : 5 4 2 2 Investments : N I LNet Current Assets : 4 4 5 7 Misc. Expenditure : N I LAccumulated Losses : N I LIV. PERFORMANCE OF COMPANY (Amount in Rs. Thousands)Turnover * : 2 4 3 Total Expenditure : 1 9 6Profit/Loss Before Tax : 4 6 Profit/Loss After Tax : 3 8Earning per share in Rs. : 0 . 0 4 Dividend % : N I LV. GENERIC NAMES OF PRINCIPAL PRODUCTS/SERVICES OF COMPANY (as per monetary terms)Item Code No. (ITC Code) :N AProduction : N A<strong>Annual</strong> <strong>Report</strong> <strong>2007</strong>-<strong>08</strong>121This is the Cash Flow referred to in our report of even date.For L.B.JHA & CO.On behalf of the BoardChartered AccountantsT. Mandal Vishal Agarwal Krishna Murari LalPartner Director DirectorMembership No. 50070Manoj Kumar DiggaDirector & Company SecretaryPlace : KolkataDate : 27 May 20<strong>08</strong>Place : KolkataDate : 27 May 20<strong>08</strong>On behalf of the BoardVishal Agarwal Krishna Murari LalDirectorDirectorManoj Kumar DiggaDirector & Company Secretary

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