Schedules to the Balance Sheet as at |
March 31, 2010 | March 31, 2009 | |
1 | SHARE CAPITAL | ||
Issued, subscribed and paid up | |||
70,000 (70,000) equity shares of THB 1,000 each fully paid | 9,38,00,000 | 9,38,00,000 | |
9,38,00,000 | 9,38,00,000 |
2. FIXED ASSETS
Particulars |
Original cost |
Accumulated depreciation |
Net book value |
|||||||
Cost as of April 01,2009 |
Additions during the year |
Deletions during the year |
Cost as of March 31,2010 |
As of April 01,2009 |
For the year | Deductions during the year |
As of March 31,2010 |
As of March 31,2010 |
As of March 31,2009 |
|
Goodwill | 10,16,56,772 | – | – | 10,16,56,772 | – | – | – | – | 10,16,56,772 | 10,16,56,772 |
Land - Leasehold | – | – | – | – | – | – | – | – | – | – |
Buildings | – | – | – | – | – | – | – | – | – | – |
Leasehold improvements | 13,85,506 | (38,755) | – | 13,46,751 | 8,85,461 | 4,92,668 | 31,378 | 13,46,751 | – | 5,00,045 |
Plant and machinery | – | – | – | – | – | – | – | – | – | – |
Computer equipment | 14,50,832 | 8,72,071 | – | 23,22,903 | 8,89,923 | 8,06,172 | 34,363 | 16,61,732 | 6,61,171 | 5,60,909 |
Furniture and fixtures | 8,68,094 | (24,282) | – | 8,43,812 | 1,72,564 | 1,70,732 | 6,752 | 3,36,544 | 5,07,268 | 6,95,530 |
Vehicles | – | – | – | – | – | – | – | – | – | – |
10,53,61,204 | 8,09,034 | – | 10,61,70,238 | 19,47,948 | 14,69,572 | 72,493 | 33,45,027 | 10,28,25,211 | 10,34,13,256 |
Schedules to Profit and Loss account for the | Year ended March 31, | ||
2010 | 2009 | ||
3 | SUNDRY DEBTORS | ||
Other debts | |||
Unsecured | |||
Considered good | 4,38,79,732 | 3,12,96,481 | |
4,38,79,732 | 3,12,96,481 | ||
Less: Provision for doubtful debts | – | – | |
4,38,79,732 | 3,12,96,481 | ||
4 | CASH AND BANK BALANCES | ||
Balances with non-scheduled banks in foreign currency | |||
In current accounts | 3,46,62,796 | 1,81,32,952 | |
3,46,62,796 | 1,81,32,952 | ||
5 | LOANS AND ADVANCES | ||
Advances | |||
For supply of goods and rendering of services | 7,63,183 | 9,29,169 | |
Withholding and other taxes receivable | 7,86,596 | 1,78,034 | |
Others | 2,99,907 | 2,28,528 | |
18,49,686 | 13,35,731 | ||
Advance income tax | 34,44,907 | 27,01,757 | |
Loans and advances to employees | |||
Salary advances | 9,83,372 | 15,34,762 | |
Electricity and other deposits | 16,888 | 31,674 | |
Rental deposits | 18,69,914 | 19,98,084 | |
81,64,767 | 76,02,008 | ||
6 | CURRENT LIABILITIES | ||
Sundry creditors | |||
Goods and services | 47,61,059 | 80,67,755 | |
Accrued salaries and benefits | |||
Salaries | – | 12,21,227 | |
Bonus and incentives | 5,56,92,029 | 5,88,79,692 | |
For other liabilities | |||
Provision for expenses | 3,87,00,791 | 1,86,29,281 | |
Withholding and other taxes payable | 4,63,139 | 3,21,602 | |
Others | 41,700 | 1,76,679 | |
Unearned revenue | 15,10,110 | 10,41,934 | |
10,11,68,828 | 8,83,38,170 | ||
7 | PROVISIONS | ||
Provision for | |||
Post-sales client support and warranties | 12,69,580 | 11,41,306 | |
Unavailed leave | 22,69,143 | 23,34,442 | |
35,38,723 | 34,75,748 | ||
8 | BUSINESS PROCESS MANAGEMENT EXPENSES | ||
Salaries and bonus including overseas staff expenses | 12,20,40,431 | 16,47,65,967 | |
Group health insurance | – | 20,152 | |
Contribution to provident and other funds | 15,78,406 | 23,17,456 | |
Staff welfare | 31,20,653 | 86,79,494 | |
Technical sub-contractors | 1,19,36,268 | 3,06,161 | |
Overseas travel expenses | 1,43,31,189 | 18,44,858 | |
Visa charges and others | 8,66,603 | 13,59,508 | |
Software packages | |||
For own use | 56,539 | – | |
Communication expenses | 3,47,91,437 | 3,48,79,035 | |
Computer maintenance | (1) | 57,813 | |
Rent | 62,87,417 | 55,77,455 | |
Miscellaneous expenses | 60,24,792 | 32,63,878 | |
20,10,33,734 | 22,30,71,777 |
9 | GENERAL AND ADMINISTRATION EXPENSES | ||
Salaries and bonus including overseas staff expenses | 2,01,19,971 | 1,82,93,919 | |
Group health insurance | 118 | 7,53,138 | |
Contribution to provident and other funds | – | 1,93,684 | |
Telephone charges | 9,96,976 | 4,32,514 | |
Professional charges | 9,57,435 | 14,71,430 | |
Power and fuel | 17,68,506 | 20,90,368 | |
Travel and conveyance | 4,22,178 | 2,93,719 | |
Overseas travel expenses | 14,73,450 | 2,56,620 | |
Visa charges and others | 99,076 | 2,459 | |
Office maintenance | 13,10,190 | 11,92,968 | |
Guesthouse maintenance | – | – | |
Insurance charges | 3,666 | 2,85,960 | |
Printing and stationery | 11,44,599 | 15,34,133 | |
Rent | 4,61,952 | 4,17,813 | |
Repairs to plant and machinery | 2,11,705 | 5,131 | |
Rates and taxes | – | 1,344 | |
Postage and courier | 5,96,806 | 8,09,221 | |
Books and periodicals | 21,024 | 8,243 | |
Recruitment and training | 1,58,447 | 3,21,359 | |
Provision for bad and doubtful debts | (31,718) | 13,236 | |
Bank charges and commission | 1,86,363 | 2,14,227 | |
Auditor’s remuneration | |||
Statutory audit fees | 4,74,540 | 2,48,860 | |
Miscellaneous expenses | 2,11,729 | 2,39,913 | |
3,05,87,012 | 2,90,80,261 | ||
10 | OTHER INCOME, NET | ||
Interest received on deposits with banks and others* | 18,958 | 13,213 | |
Miscellaneous income | – | 1,86,986 | |
Exchange gains / (losses) | (63,20,810) | 54,73,379 | |
(63,01,852) | 56,73,578 |