Cash Flow statement


For the year ended March 31,

in Rupee Symbolcrore

Schedule

2011

2010

CASH FLOWS FROM OPERATING ACTIVITIES

Net profit before tax

8,821

7,472

Adjustments to reconcile net profit before tax to cash provided by operating activities

Depreciation

740

807

Provision for investments

(9)

Interest and dividend income

(1,086)

(844)

Effect of exchange differences on translation of deferred tax liabilities

(6)

Effect of exchange differences on translation of foreign currency cash and cash equivalents

(5)

68

Changes in current assets and liabilities

Sundry debtors

(968)

146

Loans and advances

16

(704)

(368)

Current liabilities and provisions

17

234

236

7,026

7,508

Income taxes paid

18

(2,756)

(1,653)

NET CASH GENERATED BY OPERATING ACTIVITIES

4,270

5,855

CASH FLOWS FROM INVESTING ACTIVITIES

Purchase of fixed assets and change in capital work-in-progress

19

(1,152)

(565)

Investments in subsidiaries

20 (a)

(77)

(120)

Investment / (Disposal) of other securities

20 (b)

3,378

(3,497)

Interest and dividend received

21

1,086

831

CASH FLOWS FROM INVESTING ACTIVITIES BEFORE EXCEPTIONAL ITEM

3,235

(3,351)

Proceeds on sale of long-term investments, net of taxes (refer to note 23.2.25)

53

NET CASH PROVIDED BY / (USED IN) INVESTING ACTIVITIES

3,235

(3,298)

CASH FLOWS FROM FINANCING ACTIVITIES

Proceeds from issuance of share capital on exercise of stock options

24

88

Repayment of loan given to subsidiary

20 (c)

14

5

Dividends paid including residual dividend

(3,156)

(1,346)

Dividend tax paid

(524)

(228)

NET CASH USED IN FINANCING ACTIVITIES

(3,642)

(1,481)

Effect of exchange differences on translation of foreign currency cash and cash equivalents

5

(68)

NET INCREASE / (DECREASE) IN CASH AND CASH EQUIVALENTS

3,868

1,008

CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD

11,297

10,289

CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD

22

15,165

11,297

SIGNIFICANT ACCOUNTING POLICIES AND NOTES ON ACCOUNTS

23

Note : The schedules referred to above are an integral part of the Cash Flow statement.

As per our report attached

for B S R & Co.
Chartered Accountants
Firm’s Reg No : 101248W

 

Natrajh Ramakrishna
Partner
Membership No. 32815

N. R. Narayana Murthy
Chairman and Chief Mentor

S. Gopalakrishnan
Chief Executive Officer and
Managing Director

S. D. Shibulal
Chief Operating Officer and
Director

Deepak M. Satwalekar
Director

Prof. Marti G. Subrahmanyam
Director

Dr. Omkar Goswami
Director

Sridar A. Iyengar
Director

David L. Boyles
Director

Prof. Jeffrey S. Lehman
Director

K. V. Kamath
Director

R. Seshasayee
Director

K. Dinesh
Director

Bangalore
April 15, 2011

T. V. Mohandas Pai
Director

Srinath Batni
Director

V. Balakrishnan
Chief Financial Officer

K. Parvatheesam
Company Secretary