BOMBAY STOCK EXCHANGE LTD Scrip Code No - 511074 …€¦ · Scrip Code No - 511074 Company Code No...

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#-, ~. ~~ ~';;r::::~ t--.:":",, . , ' l' (Fonnerly WEIZMANN FINCORP LIMITED) Regd. Off: cia: SAREGAMA INDIA LID, 2nd Roor, Universal Insurance Building, P.M Road, Fort, Mumbai - 400001 Tel: 022-61802400 Email: [email protected]: www.easyfincorp.com CIN: L65920MH1984PLC118029 Ref: EFU09/2020/04 September 10 2020 BOMBAY STOCK EXCHANGE LTD Phiroze Jeejeebhoy Towers, Datal Street, Mumbai 400 001. Dear Sir, Scrip Code No - 511074 Company Code No - 1724 Sub: Audited Financial Results for the Quarter and year ended 31 st March, 2020 We refer to mail dated 28 th August, 2020 received from Mr Harshad Naik of Listing Department regarding non-submission of Cash Flow Statement at the time of submission of the audited Financial Results for the quarter and year ended 31 st March. 2020. We now send herewith the same which please take on record. We would like to submit that there has been a delay in submission of this document due to the dislocation caused in work due to the ongoing Covid-19 pandemic situation and would request you to kindly bear with us. Kindly take the above document on record and oblige Thanking you, For EASY FINCORP LIMITED ~ .~~ r Ij, , (Akhilanand Joshi) Director -- - --------

Transcript of BOMBAY STOCK EXCHANGE LTD Scrip Code No - 511074 …€¦ · Scrip Code No - 511074 Company Code No...

Page 1: BOMBAY STOCK EXCHANGE LTD Scrip Code No - 511074 …€¦ · Scrip Code No - 511074 Company Code No - 1724 Sub: ... 2020 received from Mr Harshad Naik of Listing Department regarding

#-, ~. ~~ ~';;r::::~t--.:":",,·., 'l'

(Fonnerly WEIZMANN FINCORP LIMITED)Regd. Off: cia: SAREGAMA INDIA LID, 2nd Roor, Universal Insurance Building, P.M Road, Fort, Mumbai - 400001

Tel: 022-61802400 Email: [email protected]: www.easyfincorp.comCIN: L65920MH1984PLC118029

Ref: EFU09/2020/04 September 10 2020

BOMBAY STOCK EXCHANGE LTDPhiroze Jeejeebhoy Towers,Datal Street,Mumbai 400 001.

Dear Sir,

Scrip Code No - 511074

Company Code No - 1724

Sub: Audited Financial Results for the Quarter and year ended 31st

March, 2020

We refer to mail dated 28th August, 2020 received from Mr Harshad Naik ofListing Department regarding non-submission of Cash Flow Statement atthe time of submission of the audited Financial Results for the quarter andyear ended 31st March. 2020. We now send herewith the same whichplease take on record. We would like to submit that there has been a delayin submission of this document due to the dislocation caused in work due tothe ongoing Covid-19 pandemic situation and would request you to kindlybear with us.

Kindly take the above document on record and oblige

Thanking you,

For EASY FINCORP LIMITED

~

.~~r Ij,,

(Akhilanand Joshi)Director

-- - --------

Page 2: BOMBAY STOCK EXCHANGE LTD Scrip Code No - 511074 …€¦ · Scrip Code No - 511074 Company Code No - 1724 Sub: ... 2020 received from Mr Harshad Naik of Listing Department regarding

ParticUlar31~2020 31.03-.2019

Amount (Rs.) Amount (Rs.)

Cash Flow From Operating ActivitiesNet Profit /(loss) before tax (2.31.225) (!>.145)DepreciationSundry Balance Wloff

(2.503)Finance costsInterest income (11,56.284) (12.70.685)Interest received from Income Tax (5,897)GainJ(Loss) on Fair value through QCI (66.83,66S) 17.63.,260

Operating Profit before Working CapItal Changes (80,77,071) 4,84,927

Chanaes in worlcina caDiI1~!:.Adjustmenfs for (incmase) I decrease In operating assets:

other current assets 3,484- (8,121)long-tenn loans and advances 4,59,344 (1,43.616)Other non-current Investments 66,83,665 (17,63,260)

71,46,493 (19,14,997)Adjustments for increase I (ckcrease) in opeI3ling liabilities:

Trade payables 71,120 (57,832)Other current liabilities 500 3,642Long-tenn provisions (14,87,516) 3,92,431

(14,15.896) 3.38,241Cash flow from extr.:)OrdinasyitemsCash 9'!neratad from operations (23.46,474) {10,91,829}Net income tax (paid) I refunds 14.45.,651 (3,43,438)Net cash ftow from I (used in) operating activities (A) (9,00,823) (14,35.267)

Cash Flow From Investing ActiviIiesInvestments - -

,-.-. -..Net cash flow from Investing activities (B) - .--=--Cash Flow From Financing ActivitiesBalance W/back 2,503Interest income 11,62,181 12,70.685

Net Cash flow from Financing activities (C ) 11,62,181 12,73,188Net increa!Mt I (decntase) in Cash and Cash Equivalents (A+B+C) 2,61,358 (1,62,079

Cash and Cash Equivalent at the Beginning of the year 3,44.856 5,06,934Gash and Cash Equivalent at the End of the year 6,06,214 3,44,856

r---- -"ii~., 3S"!(1.62.079).:..-----, -

Cash and Cash Equivalents at the End of the Year'(a) Cash on Hand 3,645 4.951(b) Cheques, Drafts on Hand - -(c) Balances with Banks

In Current Accounts 6.02,569 3,39,904Total 6,06,214 3,44,855

EASY FINCORP LIMITEDCIN L65920MH1984PLC118629

Cash Flow Statement as at 31st March.2020

For Easy Finawp Limited

Hamant Goenka(Director)DIN 02138953Place: lIumbai. Dated: 3010712020