58 (` lakhs) Note 15 Contract liabilities As at March 31, 2022 As at March 31, 2021 Advance received from customers 1.30 2.28 1.30 2.28 (` lakhs) Note 16 Other current liabilities As at March 31, 2022 As at March 31, 2021 Statutory dues 55.43 58.02 55.43 58.02 (` lakhs) Note 17 Revenue from operations 2021-22 2020-21 Sale of products 12,004.06 8,827.28 Scrap sales 25.49 17.12 Revenue from contracts with customers 12,029.55 8,844.40 Other operating revenue Commission received 86.75 43.86 12,116.30 8,888.26 Reconciliation of revenue recognised with contract price (` lakhs) Particulars 2021-22 2020-21 Contract price 12,172.80 8,937.50 Adjustment for: Variable consideration1 (143.25) (93.10) Revenue from contract with customers 12,029.55 8,844.40 1Consideration payable to customers like discounts, free samples and price reductions offered to customers are estimated on specific identified basis and reduced from the contract price when the Company recognises revenue from the transfer of the related goods or services to the customer and the entity pays or promises to pay the consideration. (` lakhs) Note 18 Other income 2021-22 2020-21 Interest from inter-corporate deposits 94.50 88.98 Interest on demand deposits with banks 42.20 36.22 Liability no longer required written back 0.05 2.34 136.75 127.54
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