Page 288 - Tata_Chemicals_yearly-reports-2019-20
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31.  Finance costs
                                                                                                      ` in crore
                                                                                      Year ended   Year ended
                                                                                   March 31, 2020 March 31, 2019
                                                                                                    (Restated)
           (a)   Interest costs
               (i)   Interest on loans at amortised cost                                   264.63       299.91
               (ii)   Interest on obligations under leases                                  11.34        1.73
           (b)  translation differences (footnote 'i')                                      0.41        (17.05)
           (c)   discount and other charges                                                 65.53        69.11
                                                                                          341.91       353.70
           Footnote:
           (i)   translation differences on foreign currency loans regarded as borrowing cost net of changes in fair value of derivative contracts.

           32.  Depreciation and amortisation expense
                                                                                                      ` in crore
                                                                                      Year ended   Year ended
                                                                                   March 31, 2020 March 31, 2019
                                                                                                    (Restated)
           (a)   depreciation of property, plant and equipment                             472.58       473.61
           (b)  depreciation of Investment property                                         0.66         0.73
           (c)   amortisation of right of use assets                                        87.30           -
           (d)  amortisation of intangible assets                                          105.93        94.16
                                                                                          666.47       568.50

           33.  Other Expenses
                                                                                                      ` in crore
                                                                                      Year ended   Year ended
                                                                                   March 31, 2020 March 31, 2019
                                                                                                    (Restated)
           (a)   Stores and spare parts consumed                                           258.39       266.24
           (b)  packing materials consumed                                                 196.06       217.99
           (c)   power and fuel                                                          1,449.90     1,480.14
           (d)  repairs - Buildings                                                         18.52        10.21
                     - Machinery                                                           417.65       383.50
                     - others                                                               8.81         7.45
           (e) rent                                                                         58.92       149.95
           (f)   royalty, rates and taxes                                                  339.77       339.55
           (g)  distributors' service charges                                               6.04         5.65
           (h)  Sales promotion expenses                                                    84.69        87.13
           (i)   Insurance charges                                                          45.42        35.03
           (j)   Freight and forwarding charges                                          1,551.42     1,609.62
           (k)   loss on assets sold, discarded or written off (net)                           -         18.09
           (l)   Bad debts written off                                                      6.92         1.30
           (m)  provision for doubtful debts, advances and other receivables (net)          14.32        9.50
           (n)  Foreign exchange loss (net)                                                 22.25        6.16
           (o)  directors' fees and commission                                              11.12        9.68
           (p) others                                                                      573.61       598.59
                                                                                         5,063.81     5,235.78




           286  I  Integrated annual report 2019-20
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