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Sunita Tools: Cash from operations turned negative

May 15, 2026 4 mins read Firehose Gupta

Sunita Tools Limited — Reporting period: Year ended March 31, 2026 (audited) and half year ended March 31, 2026 (audited)

Particulars As on 31-Mar-26 (Audited) As on 31-Mar-25 (Audited)
EQUITY AND LIABILITIES
Shareholder’s Funds
(a) Share Capital 628.05 511.00
(b) Reserves and Surplus 6,412.28 3,978.82
(c) Share Application Money Pending Allotment 138.50
Sub-Total (Shareholder’s Funds) 7,040.33 4,728.32
LIABILITIES
(2) Non-Current Liabilities
(a) Long-term borrowings 1,093.35 10.16
Sub-Total (Non-current Liabilities) 1,093.35 10.16
Current Liabilities
(a) Short-term borrowings 3,164.18 403.75
(b) Trade payables 1,701.05 338.53
– Total outstanding dues of micro enterprises and small enterprises 24.04 163.40
– Total outstanding dues of creditors other than micro enterprises and small enterprises 1,677.01 175.13
(c) Deferred tax liability 34.07 39.89
(d) Other current liabilities 107.33 76.38
(e) Short-term provisions 326.54 148.54
Sub-Total (current Liabilities) 5,333.17 1,007.09
Total Liabilities 6,426.52 1,017.24
Total (EQUITY & LIABILITIES) 13,466.85 5,745.56
Particulars As on 31-Mar-26 (Audited) As on 31-Mar-25 (Audited)
—: —:
Assets
(1) Non-current assets
(a) Fixed Assets
(i) Tangible assets 2,291.28 947.16
(ii) Intangible assets
(iii) Capital work-in-progress 1,993.44
(b) Deferred tax assets (net)
(c) Long term loans and advances 10.08 20.34
(d) Long term Investment 201.00 175.28
(e) Other non-current assets 1,175.70 906.64
Sub-Total (Non Current Assets) 5,671.50 2,049.42
Current Assets
(a) Inventories 2,472.26 1,844.95
(b) Trade receivables 2,785.24 1,462.24
(c) Cash and cash equivalents 1,738.81 82.90
(d) Short-term loans and advances 147.37 217.58
(e) Other current assets 651.67 88.47
Sub-Total (Current Assets) 7,795.35 3,696.14
Total (ASSETS) 13,466.85 5,745.56
Particulars For year ended on 31st March 2026 For year ended on 31st March 2025
Cash flow from operating activities
Profit Before Tax and Extra Ordinary Items 822.85 681.93
Adjustments
Depreciation 111.79 93.55
Finance cost 41.55 51.61
Interest income (38.38) (0.86)
Profit on sale of fixed assets (30.75)
Operating profit before working capital changes 937.81 795.48
Movements in working capital
(Increase)/decrease in trade and other receivables (1,323.00) (160.02)
(Increase)/decrease in other Short term Loans & Advances 70.22 47.91
(Increase)/decrease in other Long term Loans & Advances 10.26 148.19
(Increase)/decrease in changes in inventories (627.31) (619.21)
(Increase)/decrease in other current assets (563.20)
(Increase)/decrease in other non current asset (269.06) (906.64)
Increase/(decrease) in trade and other payable 1,362.51 84.64
Increase/(decrease) other current liabilities 30.95 (43.80)
(Increase)/decrease in short-term provisions
Cash flow generated from operations (370.81) (653.45)
Direct taxes paid (0.00) (156.91)
Net cash flow from operating activities (A) (370.81) (810.36)
Cash flow from investing activities
Sale of fixed assets
Interest income 38.38 0.86
Purchase of building and plant and machinery (3,449.34) (385.04)
Long term Investment (25.73) (175.28)
Net Cash flow from Investing activities (B) (3,436.69) (559.46)
Cash flow from financing activities
Proceed from short term borrowings 2,760.42 57.78
Proceed from long term borrowings 1,083.19 (427.65)
Proceeds from Issue of equity shares during the year 17.05 48.50
Share application money pending allotment (138.50) 138.50
Security premium amount received 536.96 1,469.53
Finance cost (41.55) (51.61)
Net cash flow from financing activities (C) 4,217.56 1,235.05
Net cash flow during the period 410.06 (134.78)
Add: Opening Cash and Cash Equivalents 82.90 217.68
Closing Cash and Cash Equivalents 492.95 82.90
Components of Cash and Cash Equivalents
Cash in hand 11.40 7.32
Balance with Bank in Current and Fixed Deposits Accounts 1,727.41 75.57
Total Cash and Cash Equivalents 1,738.81 82.90
Sr.No. Particulars Half Year Ended 31-03-2026 (Audited) Half Year Ended 30-09-2025 (Unaudited) Year Ended 31-03-2025 (Audited) Year Ended 31-03-2026 (Audited) Year Ended 31-03-2025 (Audited)
1 Revenue
(a) Revenue from operations 3,160.26 1,570.30 1,475.41 4,730.57 3,008.30
(b) Other Income 49.75 14.63 0.10 64.37 68.81
Total Revenue 3,210.03 1,584.92 1,475.51 4,794.94 3,071.11
2 Expenses
(a) Purchases 2,765.35 1,033.20 1,005.77 3,798.55 2,395.90
(b) Changes in Inventories (555.47) (206.26) (388.86) (761.77) (839.90)
(c) Employee Benefit Expenses 215.23 165.81 186.95 381.05 308.32
(d) Finance Costs 4.96 43.90 26.80 48.86 42.35
(e) Depreciation and Amortisation 67.59 71.16 80.38 138.75 115.54
(f) Other Expenses 254.35 144.01 303.68 398.37 343.58
Total Expenses 2,751.01 1,251.84 1,214.69 4,003.85 2,385.75
3 Profit / (Loss) from ordinary activities before exceptional items (1 – 2) 458.01 333.09 260.83 791.09 685.33
4 Exceptional items
5 Profit / (Loss) from ordinary activities before tax (3 + 4) 458.01 333.09 260.83 791.09 685.33
6 Tax expenses
(a) Current Year 135.25 42.75 56.58 176.00 138.02
(b) Deferred tax (3.35) 2.47 33.01 (5.82) 34.79
(c) Short/(Excess) provision
Total Tax expenses (a + b + c) 131.90 45.22 89.59 172.18 172.81
7 Net Profit / (Loss) from continuing operations (5 – 6) 326.11 287.86 171.23 618.91 512.52
8 Profit/(Loss) from discontinuing operations
9 Tax expense of discounting operations
10 Profit/(Loss) from discontinuing operations after tax (8 – 9)
11 Profit/(Loss) for the period (7 + 10) 326.11 287.86 171.23 618.91 512.52
12 Net Profit attributable to
Equity Shareholders of Parent Company 340.40 295.05 169.95 633.20 511.22
Non Controlling Interests (14.29) (7.19) 1.30 (14.29) 1.30
13 Paid up equity share capital 611 628.05 611.00
14 Other Equity (of preceeding year) 6,396.40 3,978.62
15 Earnings per equity share (before extraordinary items) (in Rs.)
Basic 5.19 4.97 2.81 10.02 8.59
Diluted 5.19 4.97 2.81 10.02 8.59
Objective of the Issue Amount as per Prospectus Amount Utilised till March 31, 2026 Amount Unutilised Deviation (if any)
Amount invested in capital Assets 415.50 415.50 0 0
Particulars As on Audited 31-Mar-26 As on Audited 31-Mar-25
EQUITY AND LIABILITIES
Shareholder’s Funds
(a) Share Capital 628.05 611.00
(b) Reserves and Surplus 6,396.40 3,980.40
(c) Share Application Money Pending Allotment 138.50
Sub-Total (Shareholder’s Funds) 7,024.44 4,729.91
Non Controlling Interest 32.01 46.30
LIABILITIES
(2) Non-Current Liabilities
(a) Long-term borrowings 1,093.35 10.16
Sub-Total (Non-current Liabilities) 1,093.35 10.16
Current Liabilities
(a) Short-term borrowings 3,223.35 417.95
(b) Trade payables 1,718.14 355.32
– Total outstanding dues of micro enterprises and small enterprises 24.04 163.40
– Total outstanding dues of creditors other than micro enterprises and small enterprises 1,694.10 191.92
(c) Deferred tax liability 34.07 39.89
(d) Other current liabilities 107.33 76.38
(e) Short-term provisions 327.04 149.04
Sub-Total (current Liabilities) 5,409.93 1,068.57
Total Liabilities 6,503.28 1,078.73
Total (EQUITY & LIABILITIES) 13,559.73 5,854.93
Assets
(1) Non-current assets
(a) Fixed Assets
(i) Tangible assets 2,387.75 1,047.57
(ii) Intangible assets
(iii) Capital work-in-progress 1,993.41
(b) Deferred tax assets (net)
(c) Long term loans and advances 10.08 20.34
(d) Long term Investment 146.00 120.28
(e) Other non-current assets 1,177.14 908.08
Sub-Total (Non-Current Assets) 5,714.38 2,096.27
Current Assets
(a) Inventories 2,496.74 1,869.43
(b) Trade receivables 2,812.05 682.07
(c) Cash and cash equivalents 1,743.90 64.28
(d) Short-term loans and advances 138.00 207.59
(e) Other current assets 654.65 96.14
Sub-Total (Current Assets) 7,845.34 2,919.52
Total (ASSETS) 13,559.73 5,015.79
Particulars For year ended on 31st March 2026 For year ended on 31st March 2025
Cash flow from operating activities
Profit Before Tax and Extra Ordinary Items 791.09 685.33
Adjustments
Depreciation 138.75 115.54
Finance cost 48.86 52.33
Interest income (38.38) (0.87)
Profit on sale of fixed assets (30.75)
Operating profit before working capital changes 940.32 821.58
Movements in working capital
(Increase)/decrease in trade