Balance Sheet Consol_Note15_Rev

15   Borrowings

( In Crore)

Particulars

Non-current

Current

As at 31 March

As at 31 March

2025

2024

2025

2024

    

Secured (against hypothecation of loans, book debts of financial service business)

Term loan from banks *

INR loans

4,199.95

633.33

2,339.17

318.52

Foreign currency loan

1,882.79

Interest accrued but not due

14.61

Other Loans

Unsecured

Maturity Date

Interest Rate

INR loan, from a bank as packing credit facility against exports

20 June 2025

1M T-bill + 43 bps

800.00

Foreign currency loan, from a bank as packing credit facility against exports

25 June 2024

3M SOFR + 25 bps

834.05

6,082.74

633.33

3,153.78

1,152.57

      

* Details of loans:

( In Crore)

Particulars

Maturity Date

Interest Rate

Amount

     

FY 2024-25

Term loan 1

02-Sep-28

7.80% – 8.03%

874.98

Term loan 2

16-Mar-26

7.62% – 7.77%

400.00

Term loan 3

30-Nov-28

8.50% – 8.55%

468.75

Term loan 4

11-Nov-27

7.85% – 8.42%

491.67

Term loan 5 (Foreign currency loan)

26-Mar-29

7.75% – 8.60%

1,882.79

Term loan 6

20-Mar-28

7.20% – 8.70%

770.83

Term loan 7

29-Sep-27

8.50% – 8.60%

1,045.83

Term loan 8

14-Oct-27

8.14%

500.00

Term loan 9

31-Dec-28

8.60% – 8.70%

374.98

Term loan 10

28-Mar-28

8.38%

500.00

Term loan 11

29-Sep-27

8.10% – 8.60%

625.00

Term loan 12

29-Feb-28

8.40%

487.49

Less: Impact of EIR

0.41

Total

8,421.91

     

FY 2023-24

Term loan 1

26-Mar-27

8.24% – 8.56%

350.00

Term loan 2

26-Mar-27

8.50% – 8.60%

600.00

Add: Impact of EIR

1.85

Total

951.85