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Cost of The Project: M/S Sarala Fly Ash Bricks

This document contains cost projections and financial statements for M/S SARALA FLY ASH BRICKS. It outlines the total project cost of 24.99 lakhs to be financed through term loans, cash credit, and promoter contribution. Projected profitability statements estimate annual sales growth and profits over 4 years. Schedules show projected balances, depreciation calculation, and term loan repayment details.

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GOUTAM GOSWAMI
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0% found this document useful (0 votes)
97 views6 pages

Cost of The Project: M/S Sarala Fly Ash Bricks

This document contains cost projections and financial statements for M/S SARALA FLY ASH BRICKS. It outlines the total project cost of 24.99 lakhs to be financed through term loans, cash credit, and promoter contribution. Projected profitability statements estimate annual sales growth and profits over 4 years. Schedules show projected balances, depreciation calculation, and term loan repayment details.

Uploaded by

GOUTAM GOSWAMI
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as PDF, TXT or read online on Scribd
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M/S SARALA FLY ASH BRICKS

PROP-PRASANT KUMAR MOHANTY


AT-MARICHAPADA,PO/DIST- JAGATSINGHPUR-754103

COST OF THE PROJECT

PARTICULARS Total

Factory Shed 2,80,000.00


Plant & Machinery 14,75,000.00
Furniture & Fixture 30,000.00
Elecrtrical Instailation 81,000.00
Pre operative Expenses 37,100.00
Working Capital 5,95,900.00
TOTAL 24,99,000.00

Means of Finance

Promoter’s Contribution 1,39,000.00


Term Loan from Bank 18,00,000.00
Cash Credit from Bank 5,60,000.00
Subsidy provided by KVIC/KVIB/DIC @ 35% (Rs. 8,74,650/-) -
TOTAL 24,99,000.00

Date: 02/07/2020
Place: Bhubaneswar
UDIN-20061549AAAACR1355
PROJECTED BALANCE SHEET

PARTICULARS 2020-21 2021-22 2022-23 2023-24

ASSETS:

Fixed Assets
Net Block 17,40,800.00 15,08,405.00 13,09,361.00 11,38,749.00

Current Assets
Closing Stock 6,47,000.00 7,11,700.00 7,82,870.00 8,61,157.00
Sundry Debtors 50,000.00 55,000.00 60,500.00 66,550.00
Cash & Bank Balance 18,409.00 17,686.00 28,557.00 25,003.00
Pre Operative Expenses 27,825.00 18,550.00 9,275.00 -
TOTAL 24,84,034.00 23,11,341.00 21,90,563.00 20,91,459.00

LIABILITIES

Capital - 2,54,446.00 3,69,287.00 5,75,734.00


Additon 1,39,000.00
Net Profit 4,45,446.00 4,64,841.00 6,06,447.00 6,51,075.00
5,84,446.00 7,19,287.00 9,75,734.00 12,26,809.00
Less:drwaing 3,30,000.00 3,50,000.00 4,00,000.00 5,70,000.00
2,54,446.00 3,69,287.00 5,75,734.00 6,56,809.00

Term Loan 16,69,588.00 13,82,054.00 10,54,829.00 -


Cash Credit 5,60,000.00 5,60,000.00 5,60,000.00 5,60,000.00
Subsidy 8,74,650.00

TOTAL 24,84,034.00 23,11,341.00 21,90,563.00 20,91,459.00

- - - -

Date: 02/07/2020
Place: Bhubaneswar
UDIN-20061549AAAACR1355
PROFITABILITY STATEMENT

YEAR 2020-21 2021-22 2022-23 2023-24

PARTICULARS

A) Sales 1,26,00,000.00 1,68,00,000.00 1,84,80,000.00 2,03,28,000.00


Closing Stock 6,47,000.00 7,11,700.00 7,82,870.00 8,61,157.00
1,32,47,000.00 1,75,11,700.00 1,92,62,870.00 2,11,89,157.00

B)
Opening Stock - 6,47,000.00 7,11,700.00 7,82,870.00
Purchases 1,16,32,518.00 1,44,86,480.00 1,60,15,128.00 1,76,16,641.00
Salary & Wages 7,56,000.00 11,08,800.00 11,74,240.00 13,71,664.00
Electricity 1,72,800.00 3,80,160.00 3,99,168.00 4,69,085.00
Consumable 16,200.00 23,760.00 24,948.00 27,443.00
Postage & Stationary 4,500.00 9,900.00 10,395.00 11,435.00
Repairs & Maintenance 6,800.00 14,960.00 15,708.00 17,279.00
Travelling Expenses 7,200.00 15,840.00 16,632.00 18,295.00
Insurance 8,400.00 18,480.00 19,404.00 21,344.00
Misc. Expenses 6,000.00 13,200.00 13,860.00 15,246.00
Depreciation 1,25,200.00 2,32,395.00 1,99,044.00 1,70,612.00
Preoperative Expenses Written Off 9,275.00 9,275.00 9,275.00 9,275.00
Total 1,27,44,893.00 1,69,60,250.00 1,86,09,502.00 2,05,31,189.00

Profit before Interest & Tax 5,02,107.00 5,51,450.00 6,53,368.00 6,57,968.00

Less: Interest on Term Loan 56,661.00 86,609.00 46,921.00 6,893.00

Profit before Tax 4,45,446.00 4,64,841.00 6,06,447.00 6,51,075.00

-
Date: 02/07/2020
Place: Bhubaneswar
UDIN-20061549AAAACR1355
TERM LOAN REPAYMENT & INTEREST CALCULATION SCHEDULE
Loan Amount 1800000
Subsidy Amount 874650
Loan Term (Years) 3
Payments Per Year 12
Rate of Interest 13.00%
Monthly Installment 31,179
S.No Monthly Installment Interest Principal Balance
0 18,00,000.00
1 31,179.00 10,025.00 21,154.00 17,78,846.00
2 31,179.00 9,795.00 21,383.00 17,57,463.00
3 31,179.00 9,564.00 21,615.00 17,35,848.00
4 31,179.00 9,330.00 21,849.00 17,13,999.00
5 31,179.00 9,093.00 22,086.00 16,91,913.00
6 31,179.00 8,854.00 22,325.00 16,69,588.00

7 31,179.00 8,612.00 22,567.00 16,47,021.00


8 31,179.00 8,367.00 22,811.00 16,24,210.00
9 31,179.00 8,120.00 23,058.00 16,01,152.00
10 31,179.00 7,870.00 23,308.00 15,77,844.00
11 31,179.00 7,618.00 23,561.00 15,54,283.00
12 31,179.00 7,363.00 23,816.00 15,30,467.00
13 31,179.00 7,105.00 24,074.00 15,06,393.00
14 31,179.00 6,844.00 24,335.00 14,82,058.00
15 31,179.00 6,580.00 24,598.00 14,57,460.00
16 31,179.00 6,314.00 24,865.00 14,32,595.00
17 31,179.00 6,044.00 25,134.00 14,07,461.00
18 31,179.00 5,772.00 25,407.00 13,82,054.00

19 31,179.00 5,497.00 25,682.00 13,56,372.00


20 31,179.00 5,219.00 25,960.00 13,30,412.00
21 31,179.00 4,937.00 26,241.00 13,04,171.00
22 31,179.00 4,653.00 26,526.00 12,77,645.00
23 31,179.00 4,366.00 26,813.00 12,50,832.00
24 31,179.00 4,075.00 27,103.00 12,23,729.00
25 31,179.00 3,782.00 27,397.00 11,96,332.00
26 31,179.00 3,485.00 27,694.00 11,68,638.00
27 31,179.00 3,185.00 27,994.00 11,40,644.00
28 31,179.00 2,882.00 28,297.00 11,12,347.00
29 31,179.00 2,575.00 28,604.00 10,83,743.00
30 31,179.00 2,265.00 28,914.00 10,54,829.00

31 31,179.00 1,952.00 29,227.00 10,25,602.00


32 31,179.00 1,635.00 29,543.00 9,96,059.00
33 31,179.00 1,315.00 29,863.00 9,66,196.00
34 31,179.00 992.00 30,187.00 9,36,009.00
35 31,179.00 665.00 30,514.00 9,05,495.00
36 31,179.00 334.00 9,05,495.00 -
CALCULATION OF DEPRECIATION

Year Total
Furniture &Fixture Electrical Installation Plant & Machinery Factory Shed Total Net Block Depreciation

Rate 10% 15% 15% 5%


WDV DEP WDV DEP WDV DEP WDV DEP

2020-21 30,000.00 1,500.00 81,000.00 6,075.00 14,75,000.00 1,10,625.00 2,80,000.00 7,000.00 17,40,800.00 1,25,200.00

2021-22 28,500.00 2,850.00 74,925.00 11,239.00 13,64,375.00 2,04,656.00 2,73,000.00 13,650.00 15,08,405.00 2,32,395.00

2022-23 25,650.00 2,565.00 63,686.00 9,553.00 11,59,719.00 1,73,958.00 2,59,350.00 12,968.00 13,09,361.00 1,99,044.00

2023-24 23,085.00 2,309.00 54,133.00 8,120.00 9,85,761.00 1,47,864.00 2,46,382.00 12,319.00 11,38,749.00 1,70,612.00
DEBT SERVICE COVERAGE RATIO

PARTICULARS 2020-21 2021-22 2022-23 2023-24

Profit before Tax 4,45,446.00 4,64,841.00 6,06,447.00 6,51,075.00


Depreciation 1,25,200.00 2,32,395.00 1,99,044.00 1,70,612.00
Interest on Term Loan 56,661.00 86,609.00 46,921.00 6,893.00
Pre Operative Expenses 9,275.00 9,275.00 9,275.00 9,275.00
Total (A) 6,36,582.00 7,93,120.00 8,61,687.00 8,37,855.00

Interest on Term Loan 56,661.00 86,609.00 46,921.00 6,893.00


Repayment of Term Loan 1,30,412.00 2,87,534.00 3,27,225.00 1,80,179.00

Total (B) 1,87,073.00 3,74,143.00 3,74,146.00 1,87,072.00

D.S.C.R { A / B } 1.70 2.12 2.30 2.24

Average D. S. C. R. 2.09 :1

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