|
22 Revenue from operations |
||||
|
(₹ In Crore) |
||||
|
Particulars |
For the year ended 31 March |
|||
|
2022 |
2021 |
|||
|
Revenue from operations |
||||
|
Revenue from contracts with customers |
||||
|
Sale of products |
32,135.98 |
27,132.90 |
||
|
Other operating revenue |
||||
|
Scrap sales |
29.25 |
18.67 |
||
|
Export incentives |
551.27 |
245.59 |
||
|
PSI |
30.50 |
– |
||
|
Royalty |
174.58 |
153.20 |
||
|
Technical know how fees |
2.65 |
– |
||
|
Rent [See note 40 of standalone financial statements] |
26.67 |
29.45 |
||
|
Insurance claims |
0.49 |
0.25 |
||
|
Miscellaneous receipts |
91.86 |
55.08 |
||
|
Government grants |
2.65 |
2.65 |
||
|
Interest income on financial services to dealers |
98.81 |
103.29 |
||
|
1,008.73 |
608.18 |
|||
|
33,144.71 |
27,741.08 |
|||
|
Revenue from contracts with customers (Goods transferred at a point in time) |
||||
|
India |
15,201.89 |
14,445.62 |
||
|
Outside India |
16,934.09 |
12,687.28 |
||
|
Total revenue from contracts with customers |
32,135.98 |
27,132.90 |
||
|
Reconciling the amount of revenue recognised in the Statement of Profit and Loss with the contracted price |
||||
|
Revenue as per contracted price |
32,407.71 |
27,374.31 |
||
|
Adjustments: |
||||
|
Cash discounts and target incentives |
(242.90) |
(183.94) |
||
|
Sales promotion expenses |
(28.83) |
(57.47) |
||
|
Revenue from contracts with customers |
32,135.98 |
27,132.90 |
||

