patels airtemp (india) ltd · 2020. 5. 31. · patels airtemp (india) ltd . ref....
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Patels Airtemp (India) Ltd .
Ref. NO.PAT/SSElNov,2019-20/100 Date: 9th November, 2019
To, BSE Ltd. Corporate Relation Department Phiroze Jeejeebhoy Towers, Dalal Street, Fort, Mumbai: 400 001
SSE Scrip Code: 517417 ISIN: INE082C01024
Sub: Outcome of the Meetingl of Board of Directors of the Company as per Regulation 30 of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015 read with Para A of Part-A of Schedul'e 111.
With reference to the captioned subject, we hereby inform you that the Board of Directors of the Company at their meeting held on today i.e. Saturday, 9th November, 2019 considered & approved Standalone Unaudited Financial Results of the Company for the Quarter and Half
30thyear ended on September, 2019 including Notes, Statement of Assets & Liabilities and Cash Flow Statement mentioned therein as per India Accounting Standard (Ind-AS) and Limited Review Report issued by the Statutory Auditors of the Company on the said financial results for the Quarter and Half year ended on 30th September, 2019 pursuant to Regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.
The said Standalone Unaudited Financial Results including Notes, Statement of Assets & Liabilities and Cash Flow Statement mentioned therein with Limited Review Report attached herewith.
You are requested to take the aforesaid matters on record and placed on the Notice Board and your website for information to the Public & Shareholders .
. Yours faithfully,
FOR PATEL~ AIRTEMP (INDIA) LIMITED
~ . NIKHIL M. PATEL Company Secretary & Compliance Officer
Encl : As stated Above
Regd. Office ; Mumbal Office : ...wOfks; 310, Oberei Chambers ,......., 805,806,807. 810. Rakanpur 382 722, 5th Floor, Kalpana Complex,
Via : Sola · Shada] Village, Ta. : Kalal. Nr Memnagar Fire Station , Navrangpura, New Unk Road , Oshiwara, Andherl (W). Mumbai - 400 053 India. Dist. : Gandhlnagar. Gujara!, India. Ahmedabad · 380 009. Guiara!, India. TeL : +91 22 26734162 /63Tel. : +91 2764 286634 / 35, 286480 / 81, Tel. ; +91 79 2791 3694/95/96 Telefax : +91 2226734162 Fax ; +91 2764 286301 Fax ; +91 79 27913693 ASME 'N'/'NPT" / 'MO' ,'U' / 'U2' , 'S' Emalt ; [email protected]
MEMBER OF : HTRI • USA
CIN NO. 129t90GJ1992PLC017801
Email : [email protected] Email: project@pa!elsairtemp.co.in NATIONAL BOARD 'NB', 'R'
www.patelairtemp.com____________________________________
http:www.patelairtemp.commailto:project@pa!elsairtemp.co.inmailto:[email protected]:[email protected]
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Patels Airtemp (India) Ltd .
PATELS AIRTEMP (INDIA) LIMITED
STATEMENT OF UNAUDITED STANDALONE FIN)l.NCIAL RESULTS
FOR THE QUARTER AND HALF YEAR ENDED 30TH SEPTEMBER, 2019
Sr.
No.
2
2
3
4
·5
6
250.09 21S.72 459.74 415.53 940.69
Particulars
Income a) Total Revenue from Operations
a) Cost of Materials consumed
b) Purchase of stock-in-trade
30/09/2019 30/06/2019 30/09/2018
5109.50
3835.94 2,250.56
62.96 33.79
c) Changes in Inventories of finished goods, work-in-progess (778.71) 395 .10and stock-in-trade
d) Employee benefits expense
e) Depreciation and amortisation expenses 66.51 64.54
f) Labour Charges 643.74 329.35
g) Finance Costs 160.72 115.79
(3.40) (3.40)
258.42 174.42
507.02 507.02 507.02
8,284.76 4.677.55 9432.21
150.89 102.52 190.62
(2,287.68) (729.01) (1150.24)
131.S9 130.00
1,072.62 629.46
306.26 214.93
(6.S0) (6.80) (3. 14)
521.94 309.25 728.51
507.02 507.02 507.02
The· above results for the Quarter and Half Year ended 30th September, 2019 have been reviewed by the Audit Committee and approved by the Board Directors In their respective meetings held on 9th November, 2019.
Th.e Statutory Auditors of the Company have carried out 11 "Limited Review" of the above Results as per Regulotion 33 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015.
As the Company has only one reportable segment i.e. Engineering, the disclosure requirements under Regulation 33 of SEBI (Listing Obligatios & Disclosure Requirements) Regulations, 2015 and In terms of Ind AS-lOS on "Segment Reporting" are not applicable.
These results have been prepared In accordance with the provisions of Section 133 of the Companies Act, 2013 read with the Companies ( Indian Accounting I Standards) Rules,2015 (Ind AS) as amended from time to time.
Previous year's/period's figures have been regrouped/rearranged wherever necessary.
The Company elected to exercise the option permited under section 115BAA of The Income-tax Act, 1961 as introduced by Taxation Laws (Amendment) Ordinance, 2019. Accordingly, the Company has recognised Provision for Income tax for the quarter and six months ended 30th September,2019, and remeasured its dererred tax assets/liabilities basis the rates prescribed in the said section.
For and on behalf of the Board
For PATELS AIRTEM~A) LIMITED
Place :Rakanpur, Dist: Gandhinagar
Date : 9th November, 2019
805, 806, 807,810, Rakanpur 382 722, 5th Kalpana Complex, 310, Obaral Chambers-II , Via : Sola.' Bhadaj VIllage, Ta. : Kalal, Nr. Memnagar Fire SlaUon, Na\lrangpura, New Link Road, Oshiwara, Olst.. Gandhln8gar, Gujarat, India. Ahmedabad · 380 009. GujarBt, India. Tel. : +912764 286634 / 35, 286480 1~. : +91 79 27913694 /95/96 Tel. : -t91 2226734162 / 63 Fax: +91 2764 286301 /"~ ~~x . 1 7927913693 Telefax : +91 2226734162 Email: works@patelsa irtemp.co . Email : [email protected] Email : patelsalrtempmumbai@vsn l. com ASME 'N'l'NPr I MO' ! 'U' I'UT I 'S'
DIN: 00023107
PATEL
Andharf (W), Mumbai • 400 053 India_
WWW'PDtels8irtem" .tom_~~:(~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~__~~~:g______~__r NA~_____r.~~~: R'_ CIN NO L29190GJ 1992PLC017801
mailto:[email protected]:[email protected]:[email protected]
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Sr. No. Particulars ~-
ASSETS
1 Non-current assets
Property, plant and equipment
Capital work-in-progress
Other intangible assets
Financial assets
(i) Other non-current assets
As at
I 30th 2019
2,844.79
28.10
14.46
170.63
Total non-current assets r-----------~--~------------~--~
2 Current assets
Inventories
Financial assets
1
(i) Trade receivables
(ii) Cash and cash equivalents
(iii) Bank balance other than cash and cash equivalents
(iv) Loans & advances
9,632.73
6,788.71
824.79
1,069.59
1,451.56
Total equity' ~----------~-----+------------~--~
2
1,192.14
26.47
165.14
Total non-current lial)ililtiel;I __________~~~~-----------.-:~~~
(il Borrowings
(ii) Trade payables Provisions
Current tax liabilities (Net)
Other Current liabilities
3,015.72
4,266.55
14.39
For and on behalf of the Board
For PATELS AIRT~ (INDIA) LIMITED
Place :Rakanpur, Dist: Gandhinagar Date : 9th November, 2019
00023107
Patels Airtemp (India) Ltd .
Standalone Statement of Assets and Liabilities for the half year ended 30th September, 2019
2,221.17
14.19
181.11 [
7,183.51
6,480.00
1,430.58
944.81
589.11
37.33
997.74
26.47
3,208.24
2,852.93
27.09
J,~.Mks ~~~~--~~--~~ww~~-----------M~~~~~~~------~
B05, 806, 807, 810, Rakanpur 382 722, 31 0, Oberoi Chambers ii, Via : Sola - Bhadaj Village, Ta. : Kalol, Nr. Memnagar Fire Sta~on, Navrangpura, New Link Road, Oshiwara , Disl : Gandhinagar, Gujara!, India. _ medabad - 380 009. Guiara\. India. Andheri (W). Mumbai - 400 053 India. Tel. : +91 2764 286634 135, 286480 j trI , 'Tel. . '1:91 79 27913694 195 1 96 Tel. : -r91 22 26734162 163 Fax +91 2764 28630 1 Fax : +91 7927913693 Telefax; +91 2226734162 EmaJ l • [email protected] L("I'( Email : Pl'(\[email protected] . patelsalrtempmumbal@vsnl .comASME" 'N"'Nf>r / 'MO' i 'U·/ 'tJ?"S·
o '~ NAnONAL BOARD 'NB' " R' MEMBER OF HTRI - USA
www.patelsairtcmp .com_.......l~~__...l.;:~--=-:¥-______________________________________________CIN NO._ _9'_90GJ1992PLC01780 __ _ _ _ _ L2 _ _ ___ _ _ _ _ _ _ _ _1
http:www.patelsairtcmp.commailto:Pl'(\[email protected]:[email protected]:2,852.93http:3,208.24http:1,430.58http:6,480.00http:7,183.51http:2,221.17
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Patels Airtemp (India) Ltd .
Standalone Statement of Cash Flow for the half year ended 30th September, 2019
Particulars , ~
A. Cash flow from operating activities
Profit before extraordinary Items and tax
Adjustments (or:
Depreciation and amortisation expense
'(Profit) / loss on assets sold and discarded
Interest Paid
interest income
IRemeasurement of Defined Benefit Plan (Gross)I
Operating profit / (iossl before working capital changes
Changes in working capital:
Inventories
Trade receivables
Short-term loans and advances
Other Non- cu rrent assets
Other current assets
Trade payables
Other current liabilities
Short-term provisions
Long-term provisions
Cash generated from operations
,Income tax paid (Net of refunds)
Net cash flow from operating activities (AI
B. Cash flow from investing activities
Capital expenditure on fixed assets
Proceeds from sa Ie of fixed assets
, Interest Received
Net cash flow used In investing activities (B)
C. Cash flow from financing activities
Net increase/(Decrease) In Long Term borrowings
Net increase/(Decrease) In working capital borrowings
Interest Paid
Dividend Paid (incl. Tax on dividends)
Net cash flow used in Financing activities (C)
Nefincrease I (decrease) In Cash and cash equivalents (A+B+C) Cash and cash equivalents at the beginning of the year Cash 'jllld cash equivalents at the end of the year
Place :Rakanpur, Dist: Gandhinagar
Date : 9th November, 2019
fRs.in lakhsl
For the half year ended For the half year ended
30 September, 2019 30 September, 2018
Unaudited Unaudited
669.10 460.47
131.89 130.00
-306.26 214.93
(4 6.44) (20.19)
(9.09) (9.59 )
1,051.72 775.62
(2,449 .22) (574 .36)
(308.71) 1,355.62
(862.45) (153.50)
I 10.47 7.92
(136.32) (74 .04)
1,413. 61 (1,063 .89)
2,047.63 182.90
(12 .7 0) (20.00)
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754.03 436.28
(165.19) (216.37)
588.83 219.91
(783.88) (190.69)
-46.44 20.19
(737.45) (170.49)
194.40 54 .19
I
(192.5 1) 175.40
(306.26) (214.93)
(152.8 1)
(457.18) 14.66
(605.79) 64.07
1,430.58 425.80 I 824.79 489.87
For and on behalf of the Board
For PATELS AIR7 (INDIA) LIMITED
Nr~'AT'l(CH RMAN & WHOLE TIME DIRECTOR) IDIN:O 23107 ~
ISO 9001 : 2015 COMPANY
Mumbal Office :Regd. Office : ~orks : 310, Oberei Chambers' ,805, 806, 807, 81 0, Rakanpur 382 722, 5th Floor, Kalpana Complex, New Link Road, Oshiwara, Nr. Memnagar Fire Station, Navrangpura, Via: Sola - Bhadaj Village. Ta. : Kalel . Andheri (W), Mumbai • 400 053 IndIa. Ahmedabad - 380 009, Gujarat, India Dis!. : Gandhinagar, Gujarat, India.
. Tel. : +91 22 26734162/ 63Tel. : +91 7927913694/95/96Tel. : +91 2764 286634 135. 286480181 , Telefax : +91 22 26734162Fax : +91 7927913693Fax : +91 2764 286301 Email : [email protected] Email . [email protected] : [email protected]
www.patelsairtemp.com _____________________________________---
ASME "N' /"NP'T" /"MO"/"t.r ' U2" ' "S'
NAn ONAL 80ARD "NS" R'
MEMBER OF : HTRI - USA
CIN NO. L29190GJ1 992PLC01 7801
http:www.patelsairtemp.commailto:[email protected]:[email protected]:[email protected]
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702, ANIKET,SHAH & SHAH ASSOCIATES Nr. MUNICIPAL MARKET, e.G . ROAD, NAVRANGPURA, CHARTERED ACCOUNTANTS AHMEDABAD - 380 009.
PHONE : 26465433 FAX : 079 - 26406983
Email: ca@shahandshah .co.in
Independent Auditor's Review Report on quarterly and year to date Unaudited Standalone Financial Results of MIs. Patels Airtemp (India) limited pursuant to the Regulation 33 of SEBI ( listing Obligations and Disclosures Requirements) Regulations, 2015
To The Soard of Directors of PATELS AIRTEMP (INDIA) LIMITED
. 1. We have reviewed the accompanying statement of unaudited standalone financial results of PATELS
AIRTEMP (INDIA) LIMITED (the "Company") fo~ the quarter and six months period ended September
30, 2019 being submitted by the Company pursuant to the requirements of Regulation 33 of the SESI
(Listing Obligations and Disclosure Requirements) Regulations,.201S, as amended. Attention is drawn
to the fact that the statement of cash flows for the corresponding period from April 01, 2018 to
September 30, 2018, as reported in these unaudited standalone financial results have been
approved by the Board of Directors of the Company, but have not been subjected to review.
2. This statement which is the responsibility of the Company's management and has been approved by the
Soard of Directors, has been prepared in accordance with the recognition and measurement principles
laid down in the Indian Accounting Standard 34 "Interim Financial · Reporting", as prescribed under
Section 133 of the Companies Act,2013 read with relevant rules issued thereunder and other accounting
principles generally accepted in India. Our responsibility is to issue a report on the statement based on
our review.
3. We conducted our review in accordance with the Standard on Review Engagements (SRE) 2410,"Review
of Interim Financial Informati.on Performed by Hie Independent Auditor of the Entity", issued by the
Institute of Chartered Accountants of India. This standard requir.es that we plan and perform the review
to obtain moderate assurance as to whether the statement is free from material misstatement. A review
is limited primarily to inquiries of company personnel and analytical procedures applied to financial data
and thus provides less assurance than an audit. We have not performed an audit and accordingly, we do
not express an audit opinion.
4. Sased on our review conducted as stated above nothing has come to our attention that causes us to
believe that the accompanying statement, prepared in accordance with recognition and measurement
principles laid down in the applicable Indian Accounting Standards prescribed under Section133 of the
Companies Act,2013,read with relevant rules issued there under and other recognized accounting
practices and policies, has not disclosed the inform.ation required to be disclosed in terms of
Regulation33 of the SESI (Listing Obligations and Disclosure Requirements) Regulations, 2015, read with
SESI Circular No. CIR/CFD/FAC/62/2016 dated July 5, 2016, including the manner in which it is to be
disclosed, or that it contains any material misstatement.
For SHAH & SHAH ASSOCIATES
Chartered Accountants
FRN:113742W /.
Place: Ahmedabad
Date: 9th November, 2019 PARTNER UDIN: I '1ofl-}L36~ C~ rn crt( 9d Membership Number: 047236
http:requir.eshttp:Informati.onmailto:[email protected]