Page 257 - BCML AR 2019-20
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BALRAMPUR CHINI MILLS LIMITED



                      (H in Lacs)  Capital  work-in-  progress   @  4582.51  24902.40  28245.27  1239.64  –     –     –  –     1239.64  1125.21  9887.65  6430.35  4582.51  –     –     –     –     4582.51



                          Total    181095.39  31561.80  1568.24  211088.95  39093.40  10073.65  393.77  48773.28  162315.67  174310.21  7813.45  1028.27  181095.39  29947.47  9487.72  341.79  39093.40  142001.99

                          Pipelines  8199.65  3321.36  17.00  11504.01  2964.95  811.09  2.12  3773.92  7730.09  7647.76  552.65  0.76  8199.65  2192.89  772.06   -     2964.95  5234.70



                          Electrical  Installation and   equipment  12115.37  3072.20  1.91  15185.66  6480.09  682.76  0.04  7162.81  8022.85  11196.18  961.01  41.82  12115.37  5938.13  572.78  30.82  6480.09  5635.28



               Notes forming part of the Consolidated Financial Statements
                          Computers  790.52  118.55  18.30  890.77  452.62  143.09  14.91  580.80  309.97  657.74  150.43  17.65  790.52  317.70  142.53  7.61  452.62  337.90


                          Office  equipment  188.35  42.32  340.16  10.67  220.46  220.00  92.45  588.69  34.69  275.49  7.29  145.58  119.85  718.60  100.15  975.73  168.07  34.42  369.81  14.14  233.01  188.35  75.27  459.75  28.36  276.69  11.18  147.75  92.45  588.69  95.90  985.94


                        Property, Plant and Equipment  Vehicles  Furniture &  Fixtures  1574.63  826.83  193.08  18709.93  35.08  767.70  1694.33  984.83  376.78  21837.00  94.33  6504.01  24.12  182.98  446.99  537.84  1437.83  744.14  108.94  4393.52  26.25  629.81  1574.63  826.83  315.47  81.81  6215.04  20.50  121.42  376.78  450.05











                          Roads  Plant and  equipment  111152.89  1608.22  761.22  –     129095.12  2369.44  1225.32  87.38  –     28158.03  1312.70  100937.09  1056.74  107389.18  1591.46  16.76  –        111152.89  1608.22  15743.38  1161.61  63.71  –        21837.00  1225.32  89315.89  382.90 The finance costs on borrowings capitalised during the year amounted to H 20.47 lacs (Previous year: H 26.82 lacs) using the capitalisation rate of 4.43% (Previous year: 6.52%) pe
                   Property, plant and equipment and Capital work-in-progress
                          Buildings  37692.52  4262.31  93.89  41860.94  5049.84  1430.52  16.73  6463.63  35397.31  36491.75  1211.18  10.41  37692.52  3724.05  1328.30  2.51  5049.84  32642.68



                          Land   (Right 0f   use)  –     634.93  –     634.93  –     10.29  (25.66)  35.95  598.98     –     –     –     –     –     –     –     –     –


                            (Lease hold)                                                                 being shown under Additions/reclassification during the year [Refer Note No. 37(13) for other disclosures].
                          Land     402.54  –     402.54  –     25.66  –     25.66  –     –     402.54  –     –     402.54  19.22  6.44  –     25.66  376.88 Depreciation capitalised and transferred to Capital work in progress H 12.18 lacs (Previous year: H 3.16 lacs) - Refer Note No. 4A. The Company has availed loans from banks and other entities against security of the fixed assets as referred in Note No. 19.



                          Land   (Free hold)  6543.87   105.74   0.69  6648.92  –     –     –     –     6648.92  6583.56  14.73  54.42  6543.87  –  –     –     –     6543.87  Buildings include H 1.66 Lacs being cost to 79833 equity shares of Fortuna Services Ltd.



                                   Gross carrying amount as at 1st April, 2019  Disposals/deductions during the year Gross carrying amount as at 31st March, 2020  Accumulated depreciation / amortisation as at   Depreciation/ amortisation for the year Disposals/deductions during the year Accumulated depreciation / amortisation    Net carrying amount as at 31st March, 2020  Gross carrying amount as at 1st April, 2018  Disposals/deductions during the year Gross carrying amou








                   Note No. : 4  Particulars  Gross block  Additions during the year  Depreciation / amortisation  1st April, 2019  as at 31st March, 2020  Gross block   Additions during the year  Depreciation / amortisation    1st April, 2018  31st March, 2019  @ Refer Note No. 4A.




                                                                                           Notes :  a)    b)    c)   d)   e)

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