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 |
