Revenue from opcrntions
Interest income 33,521.96 Fee iDcomc 123.30 Net 1ยฅ1in on lair value changes 151.78
1'1,1111 revenue from operations 33,797.04 Other income 108.79 Total Income 33,905.83
Expenses
Finance costs 6,479.82 Impairment on financial instruments (41.09) Employee benefits expenses 7,188.98 Depreciation and amortization 361.87 Other expenses 1,300.13
Total Expenses 15,289.71
Profit before tax 18,616.12
Tax expenses
Current tax 4,694.16
Deferred tax (net) (21.35)
Total tax expenses 4,672.81
Profit after tax for the period/ year 13,943.31 Other comprehensive income
Items that will not be reclassified to profit or loss
Re-measurements o f the defined benefit plan (42.91) Income Tax impact
10.80
Other comprehensive income/ (deficit) for the period/ year, net (32.11) of income tax
Items that will be reclassified subsequently to profit or loss
Cash flow hedge reserve (55.81) Income Tax impact 14.05
Other comprehensive income, net of income tax (41.76) Total comprehensive income (or t~c,period / year, net of income
Quarter ended 31 March 2022
Audited (Refer Note 2)
31,369.60 1,029.90 217.12
32,616.62
102.00
32,718.62
6,305.62 829.27 6,753.33 381.16 2,549.24
16,818.62
15,900.00
4,278.19 (166.27)
4,111.92
11,788.08
0.88
(0.22)
0.66
(126.92)
31.94
(94.98) 11,693.76
4.18
4.14 Not annualised 1.00
Quarter ended 30 June 2021
(Refer Note 3)
29,210.02 428.13 607.87
30,246.02
24.49
30,270.51
8,641.38 1,842.99 5,154 .86
260.82 987.63
16,887.68
13,382.83
3,848.80 (436.81)
3,411.99
9,970.84
(57.87)
14.56
(43.31)
- -
-
9,927.53
3.73
3.56 Not annualised 1.00
Year ended 31 March 2022
Audited
1,20,376.55 2,939.60 2,090.21
1,25,406.36
210.56
1,25,616.92
30,060.00 4,551.81 23,611.52 1,224.47 5,748.21
65,196.01
60,420.91
15,959.12 (892.66)
15,066.46 45,354.45
(171.63)
43.20
(128.43)
(126.92) 31.94
(94.98) 45,131.04
16.09
15.92 Annualised 1.