Balance Sheet
Sa_Notes08
8 Other assets (Unsecured, considered good, unless stated otherwise) |
||||||||
(₹ In Crore) |
||||||||
Particulars |
Non-current |
Current |
||||||
As at 31 March |
As at 31 March |
|||||||
2025 |
2024 |
2025 |
2024 |
|||||
|
||||||||
Capital advances |
33.30 |
63.56 |
– |
– |
||||
Security deposits |
7.45 |
8.30 |
– |
– |
||||
Advances recoverable in cash or in kind |
||||||||
Other advances |
27.05 |
27.87 |
263.78 |
105.34 |
||||
Doubtful advances |
4.03 |
4.03 |
– |
– |
||||
31.08 |
31.90 |
263.78 |
105.34 |
|||||
Less: Provision for doubtful advances |
4.03 |
4.03 |
– |
– |
||||
27.05 |
27.87 |
263.78 |
105.34 |
|||||
|
||||||||
Gratuity asset [See note 38] |
18.86 |
19.09 |
– |
– |
||||
GST/VAT credit/refund receivable |
– |
– |
473.74 |
490.81 |
||||
Export incentives receivable |
– |
– |
47.75 |
67.98 |
||||
86.66 |
118.82 |
785.27 |
664.13 |