annual-report-FY2021
294 COMPANY OVERVIEW BOARD’S REPORT MANAGEMENT DISCUSSION AND ANALYSIS CORPORATE GOVERNANCE BUSINESS RESPONSIBILITY REPORT STANDALONE ACCOUNTS CONSOLIDATED ACCOUNTS Consolidated Balance Sheet | as at 31 st March, 2021 Rupees crores Note 2021 2020 I. ASSETS NON-CURRENT ASSETS Property, plant and equipment..................................................................................................................... 4 17,611.65 24,417.18 Capital work-in-progress................................................................................................................................ 4,477.64 2,551.75 Goodwill.......................................................................................................................................................... 5 1,304.90 1,512.31 Other intangible assets.................................................................................................................................. 6 2,463.13 3,759.78 Intangible assets under development. ......................................................................................................... 3,394.97 4,304.73 Investments accounted using equity method.............................................................................................. 7 12,256.22 11,229.40 Financial assets (i) Investments. .......................................................................................................................................... 7 6,489.62 1,685.38 (ii) Trade receivables. ................................................................................................................................. 8 366.16 556.19 (iii) Loans...................................................................................................................................................... 9 38,525.68 45,945.23 (iv) Other financial assets........................................................................................................................... 10 1,497.38 1,187.72 Deferred tax assets (net). .............................................................................................................................. 11 1,717.32 1,290.53 Income tax assets (net). ................................................................................................................................. 1,887.47 1,897.98 Other non-current assets............................................................................................................................... 12 2,332.44 2,623.05 94,324.58 1,02,961.23 CURRENT ASSETS Inventories ...................................................................................................................................................... 13 9,615.41 11,111.86 Financial assets (i) Investments. .......................................................................................................................................... 7 10,031.82 6,295.56 (ii) Trade receivables. ................................................................................................................................. 8 6,007.76 6,928.28 (iii) Cash and cash equivalents................................................................................................................... 14 3,374.59 4,745.03 (iv) Bank balances other than cash and cash equivalents....................................................................... 14 9,477.40 3,165.87 (v) Loans...................................................................................................................................................... 9 29,119.55 27,963.68 (vi) Other financial assets........................................................................................................................... 10 1,431.40 1,177.36 Other current assets....................................................................................................................................... 12 3,079.98 2,561.29 Assets held for sale. ....................................................................................................................................... - 96.50 72,137.91 64,045.43 TOTAL ASSETS ................................................................................................................................................ 1,66,462.49 1,67,006.66 II. EQUITY AND LIABILITIES EQUITY Equity share capital........................................................................................................................................ 15 555.15 554.28 Other equity. .................................................................................................................................................. 41,026.77 39,415.03 Equity attributable to owners of the company........................................................................................... 41,581.92 39,969.31 Non-controlling interests............................................................................................................................... 9,070.31 7,691.74 50,652.23 47,661.05 LIABILITIES NON-CURRENT LIABILITIES Financial liabilities (i) Borrowings............................................................................................................................................ 17 54,906.56 52,298.05 (ii) Trade payables Total outstanding dues of creditors other than micro enterprises and small enterprises. ........ 18 1.44 10.25 (iii) Other financial liabilities...................................................................................................................... 19 1,595.21 1,781.40 Provisions. ....................................................................................................................................................... 20 1,600.88 4,384.13 Deferred tax liabilities (net).......................................................................................................................... 11 1,494.16 1,511.89 Other non-current liabilities.......................................................................................................................... 21 4,766.00 5,350.37 64,364.25 65,336.09 CURRENT LIABILITIES Financial liabilities (i) Borrowings............................................................................................................................................ 17 4,646.59 10,217.53 (ii) Trade payables 18 (a) Total outstanding dues of micro enterprises and small enterprises....................................... 151.58 147.45 (b) Total outstanding dues of creditors other than micro enterprises and small enterprises... 15,354.21 14,837.90 (iii) Other financial liabilities...................................................................................................................... 19 25,913.40 23,852.06 Other current liabilities.................................................................................................................................. 21 3,867.07 2,902.05 Provisions. ....................................................................................................................................................... 20 1,074.34 1,751.54 Current tax liabilities (net). ........................................................................................................................... 438.82 300.99 51,446.01 54,009.52 TOTAL EQUITY AND LIABILITIES . .................................................................................................................. 1,66,462.49 1,67,006.66 The accompanying notes 1 to 44 are an integral part of the Consolidated Financial Statements Vikram Singh Mehta Vishakha N. Desai T. N. Manoharan Haigreve Khaitan Shikha Sharma Nisaba Godrej Muthiah Murugappan Vijay Kumar Sharma CP Gurnani } Directors In terms of our report attached. For B S R & Co. LLP Chartered Accountants Firm’s Registration No : 101248W/W-100022 Jamil Khatri Partner Membership No : 102527 Mumbai, 28 th May, 2021 Anand G. Mahindra Executive Chairman Anish Shah Managing Director and CEO Rajesh Jejurikar Executive Director (Auto and Farm Sectors) Manoj Bhat Group Chief Financial Officer Narayan Shankar Company Secretary Mumbai, 28 th May, 2021
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