29 Other expenses |
||||
(₹ In Crore) |
||||
Particulars |
For the year ended 31 March |
|||
2024 |
2023 |
|||
|
||||
Stores and tools consumed |
174.06 |
154.90 |
||
Power, fuel and water |
147.94 |
122.60 |
||
Rent |
21.23 |
17.22 |
||
Repairs to buildings |
61.48 |
52.09 |
||
Repairs to machinery |
106.90 |
106.60 |
||
Other repairs |
23.80 |
20.54 |
||
Insurance |
15.60 |
12.36 |
||
Rates and taxes |
12.93 |
14.03 |
||
Payment to auditor |
2.53 |
2.03 |
||
Directors' fees and travelling expenses |
1.04 |
1.05 |
||
Commission to non-executive directors |
3.02 |
2.58 |
||
Travelling expenses |
59.26 |
45.84 |
||
Miscellaneous expenses |
624.46 |
549.29 |
||
Loss on exchange fluctuations |
0.01 |
0.40 |
||
Packing material consumed |
368.19 |
409.42 |
||
Freight and forwarding expenses |
148.13 |
194.53 |
||
Advertisement |
487.12 |
371.19 |
||
Vehicle service charges and other expenses |
211.58 |
164.91 |
||
Sales promotion expenses |
40.99 |
30.50 |
||
Contribution to electoral bonds (Paid to Aam Aadmi Party in previous year) |
– |
5.00 |
||
Expenditure towards Corporate Social Responsibility (CSR) activities |
131.72 |
124.99 |
||
Bad debts and other irrecoverable debit balances written off |
14.89 |
5.98 |
||
Loss on property, plant and equipment sold, demolished, discarded and scrapped |
3.12 |
14.11 |
||
Provision for doubtful debts and advances (includes expected credit loss on trade receivables) |
(23.83) |
4.79 |
||
2,636.17 |
2,426.95 |
Expenditure towards Corporate Social Responsibility (CSR) activities |
|||||||
(₹ In Crore) |
|||||||
Particulars |
For the year ended 31 March |
||||||
2024 |
2023 |
||||||
|
|||||||
a) |
Details of spends |
||||||
i) |
Gross amount required to be spent by the Company during the year |
131.72 |
124.99 |
||||
ii) |
Amount of expenditure incurred |
131.72 |
124.99 |
||||
iii) |
Shortfall at the end of the year |
– |
– |
||||
iv) |
Total of previous years shortfall |
– |
– |
||||
v) |
Reason for shortfall |
NA |
NA |
||||
vi) |
Nature of CSR activities |
||||||
Poverty, Health, Sanitation, Water |
5.09 |
7.24 |
|||||
Education, Special Education, Vocation, Livelihoods |
13.50 |
22.93 |
|||||
Environment, Soil And Water, Protection of Flora and fauna |
1.54 |
9.88 |
|||||
Heritage, Art, Culture, Handicrafts, Public Libraries |
0.18 |
0.23 |
|||||
Veterans, War Widows, Dependents |
– |
– |
|||||
Rural Development |
– |
4.79 |
|||||
Gender/Women, Orphans, Homes and Hostels, Day Care |
– |
1.90 |
|||||
Others (including provision for unspent) |
111.41 |
78.02 |
|||||
Total |
131.72 |
124.99 |
|||||
No funds relating to other than identified and ongoing projects are required to be transferred to specified funds. |
|||||||
|
|||||||
b) |
Amount spent in cash during the year on: |
||||||
i) |
Construction/acquisition of any asset |
– |
– |
||||
ii) |
On purposes other than (i) above |
131.72 |
124.99 |
||||
131.72 |
124.99 |