FORM NL-20-RECEIPT AND PAYMENTS SCHEDULE |
Format of Receipts and Payments A/c to be furnished by the insurers on direct basis |
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(Rs. in '000) |
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31st March 2012 |
31st March 2011 |
A ) |
CASH FLOW FROM OPERATING ACTIVITIES | - | - | - | - |
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Net Profit before taxation as per Profit & Loss A/c |
- |
24906729 |
- |
11893486 |
- |
Adjustments for: | - | - | - | - |
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Exchange -Loss/Gain charged |
-3487648 | - |
-62241 | - |
- |
Provision for diminution in value of investment |
161486 | - |
319238 | - |
- |
Provision for doubtful loans, investments & Debts |
1506990 | - |
364256 | - |
- |
Amortisation of Premium on Investment |
202050 | - |
227330 | - |
- |
Investment Reserve Transferred to Profit & Loss A/c | - | - | - | - |
- |
Depreciation |
43938 | - |
31138 | - |
- |
-Profit /Loss on sale of Assets |
-895 | - |
-237 | - |
- |
Provision for Leave Encashment & Salary Arrears |
46806 | - |
-3243 | - |
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Sundry Balances Written off/ -back |
3 |
-1527270 |
0 |
876241 |
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Operating Profit before working capital changes | - |
-26433999 | - |
12769727 |
- |
Changes in Unexpired Risk Reserves |
12425134 | - |
9685392 | - |
- |
Changes in Premium Deficiency Reserve |
1414674 | - | - | - |
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Changes in Provisions for Outstanding Claims |
58370260 | - |
19158181 | - |
- |
Changes in Income accrued on Investments |
-1350281 | - |
-673412 | - |
- |
Changes in Balances with Insurance Companies |
-12565535 | - |
866469 | - |
- |
Changes in Advance and Deposits |
-4796548 | - |
-5356888 | - |
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Changes in other Current Liabilities |
4436467 |
57934171 |
4172464 |
27852206 |
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Cash generated from operations | - |
31500172 | - |
40621933 |
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Income Tax Paid (Net) | - |
5081211 | - |
-3872720 |
- |
Net Cash from Operating Activities | - |
36581383 | - |
36749213 |
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| - | - | - | - |
B ) |
CASH FLOWS FROM INVESTING ACTIVITIES | - | - | - | - |
- |
Purchase of Fixed Assets | - |
-90317 | - |
-35792 |
- |
Proceeds from sale of Fixed Assets | - |
2201 | - |
2426 |
- |
Foreign Currency Translation Reserve | - |
3382415 | - |
9186 |
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Changes in net Investments | - |
-18518246 | - |
-13433933 |
- |
Net Cash used in Investing Activities | - |
-15223947 | - |
-13458113 |
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| - | - | - | - |
C ) |
CASH FLOWS FROM FINANCING ACTIVITIES | - | - | - | - |
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Dividend Paid | - |
-2064000 | - |
-3526000 |
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Dividend Tax Paid | - |
-334832 | - |
-585625 |
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Net Cash from Financing Activities | - |
-2398 832 | - |
-4111 625 |
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| - | - | - | - |
D) |
Effect of Foreign Exchange on Cash & Cash equivalents(Net) | - |
3487648 | - |
62241 |
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Net increase in Cash and Cash equivalents (A+B+C+D) | - |
22446 252 | - |
19241 716 |
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Cash and Cash equivalents at beginning of period | - |
46697490 | - |
27454476.2 |
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Cash and Cash equivalents at the end of period | - |
69143742 | - |
46697490.2 |