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Cords Cable Industries Ltd.

Notes to Accounts

NSE: CORDSCABLEEQ BSE: 532941ISIN: INE792I01017INDUSTRY: Cables - Power/Others

BSE   Rs 181.40   Open: 185.95   Today's Range 181.40
185.95
 
NSE
Rs 181.64
-3.27 ( -1.80 %)
-3.40 ( -1.87 %) Prev Close: 184.80 52 Week Range 146.90
246.60
You can view the entire text of Notes to accounts of the company for the latest year
Market Cap. (Rs.) 234.82 Cr. P/BV 1.34 Book Value (Rs.) 135.15
52 Week High/Low (Rs.) 246/147 FV/ML 10/1 P/E(X) 16.01
Bookclosure 22/09/2025 EPS (Rs.) 11.35 Div Yield (%) 0.55
Year End :2024-03 

Note 32: Notes on Accounts A. Contingent Liability

a) Claims against Company not acknowledged as Debts:

Details of various show cause notices & cases against which the Company / Department is in appeal and against which no demand is deposited are given below:

Name of the Statute

Nature of dues

Amount INR in Lakhs

Period to which the amount relates

Forum where dispute is pending

Building and

Building and Other

2010-2011

Stay order granted by

Other Construction

Construction Worker’s

&

the HIGH COURT, Jaipur

Worker’s Welfare

Welfare CESS Rule,1998

2012-2013

CESS Act, 1996

CESS Amount

16.04

Add: Interest

29.42

45.46

Less: Already Deposit

16.04

Balance

29.42

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

9.33

2017-2018

Application filed for refund

Less:- Already Deposit

0.93

to Deputy Commissioner

Balance

8.40

(GST), Bhiwadi.

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

36.65

2017-2018

Application filed for refund

Less:- Already Deposit

3.66

to Deputy Commissioner

Balance

32.99

(GST), Bhiwadi.

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

1.76

2016-2017

Case Pending with

Less:- Already Deposit

0.13

Commissioner

Balance

1.63

(Appeals) Jaipur

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

2.35

2015-2016

Case Pending with

Less:- Already Deposit

0.97

to

Commissioner

Balance

1.38

2017-2018

(Appeals) Jaipur

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

6.12

2007-2008

Case Pending with

Less:- Already Deposit

0.46

Commissioner

Balance

5.66

(Appeals) Jaipur

Name of the Statute

Nature of dues

Amount INR in Lakhs

Period to which the amount relates

Forum where dispute is pending

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

13.09

2007-2008

Case Pending with

Less:- Already Deposit

0.98

&

Commissioner

Balance

12.11

2008-2009

(Appeals) Jaipur

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

58.08

2017-2018

Case Pending with

Add:- Interest

36.48

&

Commissioner

Add:- Penalty

58.08

2018-2019

(Appeal) Jaipur

Total

152.64

Less:- Already Deposit

58.08

Balance

94.56

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

104.19

2018-2019

Case Pending with

Add:- Interest

56.73

Commissioner

Add:- Penalty

15.63

(Appeal) Jaipur

Total

176.55

Less:- Already Deposit

176.55

Balance

NIL

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

72.85

2017-2018

Case Pending with

Penalty

72.85

2018-2019

Commissioner

Total

145.70

2019-2020

(Appeal) Jaipur

Less:- Already Deposited

7.29

Balance

138.41

Central Goods &

Central Goods &

Services Tax

Service Tax

Act 2017.

Tax

0.40

2019-2020

Case Pending with

Penalty

0.40

Commissioner

Total

0.80

(Appeal) Jaipur

Less: Already Deposited

0.04

Balance

0.76

Name of the Statute

Nature of dues

Amount INR in Lakhs

Period to which the amount relates

Forum where dispute is pending

Income Tax Act 1961.

Income Tax

Tax

Add: Interest Total

58.08

81.53

AY 2018-2019

Appeal to the

Commissioner

of Income Tax (Appeal)

139.61

b)

Other Contingent Liabilities

(Amount INR in Lakhs)

Particulars

2023-24

2022-23

Guarantees issued by Bankers

8246.87

7778.86

In respect of Bill/LC negotiated factored from Banks/Factoring agency

3734.61

3032.91

c) Capital & Other Commitments

Estimated amounts of contracts remaining to be executed on capital account and not provided for (Net of Advances) Nil (P.Y. Rs. Nil).

B. Employee benefits

Defined benefit plan

The following table sets out the details of the defined benefits retirement plans and the amounts recognition in the financial statement:

I. Defined Contribution Plans

a. Provident Fund

b. Employers’ contribution to Employees’ State Insurance

H. (a) In respect of amounts as mentioned under 205C of the Companies Act, 2013 there were no dues required to be credited to the Investor Education and Protection Fund as at March 31,2024.

(b) CSR liability of Rs.Nil Lakhs (Paid during the year Rs 17.00 Lakhs)

I. BASIC AND DILUTED EARNINGS PER SHARE:

The basic earnings per equity share is computed by dividing the net profit attributable to equity shareholders for the year by the weighted average number of equity shares outstanding during the year. Diluted earnings per share are computed using the weighted average number of equity shares and also the weighted average number of equity shares that could have been issued on the conversion of all dilutive potential equity shares. The dilutive potential equity shares are adjusted for the proceeds receivable, had the shares been actually issued at fair value.

Dilutive potential equity shares are deemed converted as of the beginning of the year, unless they have been issued at a later date. The number of equity shares and potential diluted equity shares are adjusted for stock split, bonus shares, Convertible Preference Shares, Share Warrants and the potential dilutive effect of Employee Stock Option Plan as appropriate.

Fair value of financial instruments as referred to in note above has been classified into three categories depending on inputs used in valuation technique. Hierarchy gives highest priority to quoted prices in active market for identical assets or liabilities (level 1 measurement) and lowest priority to unobservable inputs (level 3 measurements).

The categories used are as follows:

Level 1: Quoted prices (unadjusted) in active markets for identical assets or liabilities.

Level 2: The fair value of Financial Instruments that are not traded in an active market is determined using valuation techniques which maximize the use of observable market data rely as little as possible on entity specific estimates.

Level 3: If one or more of the significant inputs is not based on observable market data, the instrument is included in level 3.

Company’s policy is to recognize transfers into and transfer out of fair value hierarchy levels as at the end of the reporting period.

 
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Registered Office : 402, Nirmal Towers, Dwarakapuri Colony, Punjagutta, Hyderabad - 500082.
SEBI Registration No's: NSE / BSE / MCX : INZ000166638. Depository Participant: IN- DP-224-2016.
AMFI Registered Number - 29900 (ARN valid upto 24th July 2025) - AMFI-Registered Mutual Fund Distributor since June 2008.
Compliance Officer :- Name: Ch.V.A. Varaprasad, Mobile No.: 9393136201, E-mail: varaprasad.challa@rlpsec.com
Grievance Cell: rlpsec_grievancecell@yahoo.com , rlpdp_grievancecell@yahoo.com
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