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Tanla Platforms: Profit before tax hits ₹16,665 crore

April 24, 2026 3 mins read Firehose Gupta

Tanla Platforms Limited — Year ended March 31, 2026 (Quarter ended Mar 31, 2026; Quarter ended Dec 31, 2025; Quarter ended Mar 31, 2025)

Particulars Consolidated Results Standalone Results
Quarter ended Mar 31, 2026 (Refer note 11) Quarter ended Mar 31, 2026 (Refer note 11)
Quarter ended Dec 31, 2025 (Unaudited) Quarter ended Dec 31, 2025 (Unaudited)
Quarter ended Mar 31, 2025 (Refer note 11) Quarter ended Mar 31, 2025 (Refer note 11)
Year ended Mar 31, 2026 (Audited) Year ended Mar 31, 2026 (Audited)
Year ended Mar 31, 2025 (Audited) Year ended Mar 31, 2025 (Audited)
Particulars Consolidated Results Standalone Results
1 Revenue from operations (net) 1,17,753.95 1,12,103.56
1,02,436.48 4,41,770.64
4,02,772.15 21,549.09
19,264.65 18,678.27
74,433.58 85,402.21
2 Other Income 835.03 797.82
1,095.39 3,726.54
4,022.41 1,065.86
8,409.40 20,384.47
15,581.82 30,512.94
3 Total income (1+2) 1,18,588.98 1,12,901.38
1,03,531.87 4,45,497.18
4,06,794.56 22,614.95
27,674.05 39,062.74
90,015.40 1,15,915.15
Particulars Consolidated Results Standalone Results
4 (a) Cost of services 85,969.60 81,170.57
76,556.02 3,24,306.10
2,97,698.23 19,314.64
16,539.48 15,772.85
63,554.68 71,032.75
4 (b) Employee benefits expense 6,719.49 7,309.41
5,736.37 26,748.37
21,560.05 1,174.75
1,370.05 1,424.86
5,245.75 4,694.33
4 (c) Depreciation and amortisation expense 3,287.77 3,249.82
2,705.49 12,220.50
9,777.43 177.33
183.39 205.94
732.40 825.28
4 (d) Connectivity & bandwidth charges 789.31 788.64
917.79 3,193.90
3,338.77 140.80
237.05 209.26
774.74 615.94
4 (e) Finance costs 63.65 118.57
143.65 439.15
597.83 317.81
324.86 386.70
1,288.87 2,259.90
4 (f) Other expenses 5,093.98 3,781.95
2,880.44 15,147.59
11,091.68 837.20
815.09 1,026.98
3,454.20 3,756.84
Total expenses (4a to 4f) 1,01,923.80 96,418.96
88,939.76 3,82,055.61
3,44,063.99 21,962.53
19,469.92 19,026.59
75,050.64 83,185.04
Particulars Consolidated Results Standalone Results
5 Profit before exceptional items/share in net profit/(loss) of associate (3–4) 16,665.18 16,482.42
14,592.11 63,441.57
62,730.57 652.42
8,204.13 20,036.15
14,964.76 32,730.11
Particulars Consolidated Results Standalone Results
6 Exceptional item
Particulars Consolidated Results Standalone Results
7 Profit before non-controlling interest/share in net profit/(loss) of associate (5–6) 16,665.18 16,482.42
14,592.11 63,441.57
62,730.57 652.42
8,204.13 20,036.15
14,964.76 32,730.11
Particulars Consolidated Results Standalone Results
8 Share in net profit/(loss) of associate
Particulars Consolidated Results Standalone Results
9 Profit before tax (7+8) 16,665.18 16,482.42
14,592.11 63,441.57
62,730.57 652.42
8,204.13 20,036.15
14,964.76 32,730.11
Particulars Consolidated Results Standalone Results
10 Tax expense
– Current tax 3,237.79 3,358.88
2,841.90 12,310.72
12,470.67 139.95
78.35 88.76
566.78 1,009.61
– Prior period taxes/MAT credit 36.71
822.51 36.71
26.15
6.90
6.90 0.03
– Deferred tax (4.94) (50.32)
(805.65
Particulars Consolidated March 31, 2026 Audited Consolidated March 31, 2025 Audited Standalone March 31, 2026 Audited Standalone March 31, 2025 Audited
I. ASSETS
Non current assets
(a) Property, plant and equipment 20,547.88 22,891.10 2,188.31 2,493.82
(b) Right-of-use assets 4,073.24 5,232.83
(c) Capital work-in-progress 499.46
(d) Investment Property 161.82 164.65
(e) Goodwill 26,455.15 26,455.15
(f) Other intangible assets 24,828.19 19,170.46 74.18 275.66
(g) Intangible assets under development 4,965.07 8,454.62 13.37
(h) Financial assets
(i) Investments 66,171.49 66,171.49
(ii) Other financial assets 7,739.51 3,615.40 298.67 487.21
(i) Deferred tax assets (net) 4,490.93 4,634.39 1,027.39 1,505.33
(j) Other non-current assets 5,278.96 8,304.15 1,020.39 1,944.46
Total non current assets 98,540.75 99,422.21 70,780.43 72,891.34
Current assets
(a) Financial assets
(i) Investments 2,547.76 11,986.71 2,084.86
(ii) Trade receivables 98,823.75 83,778.05 6,343.57 25,717.80
(iii) Cash and cash equivalents 74,801.21 50,150.30 2,103.84 7,035.93
(iv) Bank balances other than cash and cash equivalents 31,561.84 37,915.79 2,248.94 1,897.44
(v) Loans 13,455.12
(vi) Other financial assets 52,717.14 47,554.60 9,683.66 8,743.98
(b) Other current assets 14,009.37 2,963.00 2,015.19 681.89
Total current assets 2,74,461.07 2,34,348.45 22,395.20 59,617.02
TOTAL ASSETS 3,73,001.82 3,33,770.66 93,175.63 1,32,508.36
II. EQUITY AND LIABILITIES
Equity
(a) Equity share capital 1,326.17 1,346.17 1,326.17 1,346.17
(b) Other equity 2,47,473.84 2,25,483.25 50,144.68 71,258.44
Total equity 2,48,800.01 2,26,829.42 51,470.85 72,604.61
Non current liabilities
(a) Financial liabilities
(i) Borrowings 13,219.14 13,219.14
(ii) Lease liabilities 4,207.78 4,810.41
(iii) Other financial liabilities 176.18 129.68 173.52 128.02
(b) Provisions 369.79 315.16 80.29 53.00
Total non current liabilities 4,753.75 5,255.25 13,472.95 13,400.16
Current liabilities
(a) Financial liabilities
(i) Trade payables
(a) total outstanding dues of micro and small enterprises 2,659.45 37.60 42.82 3.30
(b) total outstanding dues of creditors other than micro and small enterprises 65,216.90 57,418.54 16,469.09 31,949.73
(ii) Lease liabilities 1,063.03 1,594.33
(iii) Other financial liabilities 43,578.59 35,673.99 11,156.38 14,222.57
(b) Other current liabilities 2,412.69 2,599.95 537.51 300.62
(c) Provisions 1,782.05 1,432.20 26.03 22.41
(d) Liabilities for current tax (net) 2,735.35 2,969.38 4.96
Total current liabilities 1,19,448.06 1,01,685.99 28,231.83 46,503.59
TOTAL EQUITY AND LIABILITIES 3,73,001.82 3,33,770.66 93,175.63 1,32,508.36
Particulars Consolidated Year ended Mar 31, 2026 (Audited) Consolidated Year ended Mar 31, 2025 (Audited) Standalone Year ended Mar 31, 2026 (Audited) Standalone Year ended Mar 31, 2025 (Audited)
A Cash Flows from Operating Activities
Profit before tax 63,441.57 62,730.57 14,964.76 32,730.11
Adjusted for :
Depreciation and amortisation expense 12,220.50 9,777.43 732.40 825.28
Interest & other income (3,398.35) (3,103.44) (1,008.88) (1,410.45)
Dividend income (12,360.71) (19,358.49)
Finance cost 1,288.87 2,259.90
Share based payments 2,871.09 1,010.63 106.04 178.71
Gain on sale of investment in subsidiary (8,337.12)
Gain on sale of investments (261.48) (789.18)
Unrealised loss/(gain) on forex fluctuation 898.66 171.81 3.80 1.22
Write back of Liabilities (758.77)
Interest on leases 439.15 598.21
Provision for other current financial assets 166.66 66.94
Provision for doubtful debts 1,323.22 310.01 94.89
Assets scrapped during the year 50.52 21.04
Gain on disposal of property plant and equipment (5.82)
Operating profits before working capital changes 77,745.72 70,014.21 3,842.21 6,889.16
Changes in current assets and liabilities
(Increase)/Decrease in trade receivables (17,267.58) (20.58) 19,275.54 (1,401.96)
(Increase)/Decrease in financial and non-financial assets (7,185.96) 3,266.05 1.97