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ARCL Organics: Cash fell, borrowings rose in 2026

May 7, 2026 4 mins read Firehose Gupta

ARCL ORGANICS LTD — Quarter and year ended 31st March 2026

Particulars STANDALONE CONSOLIDATED
As at 31st March 2026 As at 31st March 2025 As at 31st March 2026 As at 31st March 2025
ASSETS
Non-current assets
Property, Plant and Equipment 9623.31 6671.68 9709.91 6758.28
Right of Use 7.90 31.59 7.90 31.59
Financial Assets
(i) Investments 122.26 126.01 3.75
(ii) Other financial Assets 36.12 36.12 36.12 36.12
Total Non – Current Assets 9789.59 6865.40 9753.93 6829.74
Current assets
Inventories 2424.29 1419.77 2424.29 1419.77
Financial Assets
(i) Trade receivables 4134.64 5161.93 4146.52 5163.80
(ii) Cash and cash equivalents 38.07 46.19 54.38 575.25
(iii) Other Bank Balances 2209.57 1232.51 2209.57 1232.51
(iv) Loans 25.29 208.34 27.90 70.81
(v) Other Financial Assets 718.16 181.59 718.16 181.59
Other current assets 1761.01 970.56 2698.25 1415.22
Total Current Assets 11311.03 9220.59 12279.07 10058.95
Total Assets 21100.62 16086.29 22033.00 16888.69
EQUITY AND LIABILITIES
Equity
Equity Share capital 800.00 800.00 800.00 800.00
Other Equity 7190.02 6765.10 7420.46 6944.88
Total equity 7990.02 7565.10 8220.46 7744.88
LIABILITIES
Non-current liabilities
Financial Liabilities
(i) Borrowings 3640.29 1759.75 2761.55 1618.49
(ia) Lease Liabilities 4.29 4.29
Provisions 369.76 240.49 369.76 240.49
Deferred Tax Liabilities (Net) 838.24 468.42 838.24 468.42
Total non-current liabilities 4852.58 2468.66 3973.84 2327.40
Current liabilities
Financial Liabilities
(i) Borrowings 4322.32 1749.87 4322.32 1749.87
(ia) Lease Liabilities 4.92 34.02 4.92 34.02
(ii) Trade payables
Outstanding dues to Micro and Small enterprises 3478.81 3784.85 4228.81 4534.85
Outstanding dues to parties other than Micro and Small enterprises
(iii) Other financial liabilities 279.18 290.59 279.18 290.58
Provisions 108.27 213.83 108.26 213.83
Other current liabilities 15.65 371.62 868.63 403.30
Current Tax Liability Net 48.87 -392.25 26.58 -410.04
Total Current Liabilities 8258.02 6052.53 9838.70 6816.41
Total liabilities 13110.60 8521.19 13812.54 9143.81
Total Equity & Liabilities 21100.62 16086.29 22033.00 16888.69
Particulars Standalone Consolidated
For the year ended As at March 31st, 2026 For the year ended As at 31st March 2025 For the year ended As at March 31st, 2026 For the year ended As at 31st March 2025
A. Cash Flow from Operating Activities
Net profit before tax as per Statement of Profit and Loss 1638.91 1603.15 1704.74 1675.38
Adjustments for :
Depreciation on Tangible Assets 602.16 520.92 602.16 520.92
Interest Income -147.68 -73.36 -147.68 -73.36
Interest Expense 519.43 388.17 454.90 320.92
Acturial Gain /loss transfeed to OCI -43.41 -38.39 -43.41 -38.39
930.50 797.34 865.97 730.09
2569.41 2400.49 2570.71 2405.47
Operating Profit Before Working Capital Changes
Increase / (Decrease) in Trade Payables -306.04 -417.09 -306.04 -417.09
Increase / (Decrease) in Other Current Liabilities -355.95 303.93 465.33 298.57
Increase / (Decrease) in Short Term Provisions -105.57 25.02 -105.57 21.48
Increase / (Decrease) in Long Term Provisions 129.27 129.27 65.81
Increase / (Decrease) in Other Current financial Liabilities -11.41 65.80 -11.40
(Increase) / Decrease in Other Bank balances -977.06 -530.86 -977.06 -530.86
(Increase) / Decrease in Trade receivables 1027.29 -1747.11 1017.28 -1734.06
(Increase) / Decrease in Inventories -1004.52 42.90 217.58
(Increase) / Decrease in Loans and Advances 183.05 74.48
(Increase) / Decrease in Other Current Assets -950.08 -473.79 -1462.33 -498.61
(Increase) / Decrease in Other Current Financial Assets -536.57 -145.36 -536.57 -145.36
(Increase) / Decrease in Other Non Current financial Assets .00 34.75 .00 34.75
(Increase) / Decrease in Long Term Loans & Advances – .40 -2908.00 .00 -1870.89
-338.59 -1996.86 -2748.71
Cash generated from operations
Taxes paid (Net of refunds) 200.00 200.00
Net cash Generated/(used) from operating activities (A) -538.59 403.63 -378.00 534.58
B. Cash Flow from Investing Activities
Purchase of fixed assets -3530.11 -1003.48 -3530.11 -1003.48
Disposal of Fixed Assets . . . .
Investments in Subsidiaries . .58 . .58
Sale of Shares 4.15 .00 3.75
Interest Received 147.68 73.36 147.68 73.36
Net cash from investing activities (B) -3378.28 -929.54 -3378.68 -929.54
C. Cash flow From Financing Activities
Proceeds from short – term borrowings 2543.34 652.08 2543.34 652.08
Proceeds/(Repayment) from long – term borrowings 1884.83 -24.21 1147.35 -165.46
Interest Paid -519.43 -388.17 -454.90 -320.92
Net cash used for financing activities (C) 3908.75 239.70 3235.79 165.70
Net Increase/(decrease) in cash and cash equivalents (A+B+C) -8.12 -286.20 -520.89 -229.25
Cash and Cash equivalent at the beginning of the year 46.19 332.39 575.25 804.50
Cash and Cash equivalent at the end of the year 38.07 46.19 54.36 575.25
Changes in Cash and Cash Equivalents – Increase/(Decrease) 8.12 286.20 520.89 229.25
Name Designation DIN
Suraj Ratan Mundhra Managing Director DIN-00681223
Mukesh Mundhra Director DIN-00658602
Navneet Bagri Chief Financial Officer
Signed for and on behalf of the Board
Suraj Ratan Mundhra Mukesh Mundhra Navneet Bagri
Managing Director Director Chief Financial Officer
DIN-00681223 DIN-00658602
(Signature) (Signature) (Signature)
Sl. No. Particulars STANDALONE CONSOLIDATED
Quarter ended 31-Mar-2026 (Audited) 31-Dec-2025 (Unaudited) 31-Mar-2025 (Audited) 31-Mar-2026 (Audited) Quarter ended 31-Mar-2026 (Audited) 31-Dec-2025 (Unaudited) 31-Mar-2025 (Audited) 31-Mar-2026 (Audited) 31-Mar-2025 (Audited)
1 Income
(a) Revenue from Operations 6531.45 5346.69 7224.47 27231.39 6531.45 5346.69 7224.47 27231.39 25059.27
(b) Other Income 78.12 114.44 40.09 393.91 78.12 114.44 40.09 393.91 235.33
Total Income 6609.57 5461.13 7264.56 27625.30 6609.57 5461.13 7264.56 27625.30 25294.61
2 Expenses
(a) Cost of Materials Consumed 4512.98 3511.76 4743.48 17346.02 4512.98 3511.76 4743.48 17346.02 17882.79
(b) Purchase of Stock in Trade 61.46 493.96 243.58 2590.69 61.46 493.96 243.58 2590.69 861.42
(c) Changes in inventories of Finished Goods, Work-in-Progress and Stock-in-Trade -183.49 -178.71 316.35 -462.02 -183.49 -178.71 316.35 -462.02 -265.35
(d) Employee Benefits Expenses 306.08 331.28 230.43 1288.77 314.73 327.76 233.93 1283.28 1228.46
(e) Other Expenses 1114.40 1224.29 791.23 4005.36 1117.05 1225.01 792.69 4009.42 2971.19
Total Expenses 5811.43 5382.58 6325.07 24786.77 5822.73 5379.78 6330.03 24767.39 22678.51
3 Earnings before Finance costs, Depreciation & Amortisation, Share of Profit/(Loss) of 798.14 78.55 939.49 2838.56 786.54 81.35 934.54 2857.91 2616.10
4 Finance Costs 191.08 153.86 124.38 560.70 175.17 138.04 106.62 496.21 419.79
5 Profit after Finance costs but before Depreciation & Amortisation, Share of Profit/(Loss) of Associates, Exceptional Item and Tax (3-4) 607.06 -75.33 815.11 2275.83 611.57 -56.69 827.92 2361.70 2196.31
6 Depreciation and Amortisation Expenses 163.48 150.54 141.85 602.16 163.48 150.54 141.85 602.16 520.92
7 Profit before Share of Profit/(Loss) of Associates, Exceptional item and Tax (5-6) 443.58 -225.87 673.26 1693.67 448.19 -207.23 686.07 1759.54 1675.39
8 Profit/(Loss) before Exceptional Items & Tax 443.58 -225.87 673.26 1693.67 448.19 -207.23 686.07 1759.54 1675.39
9 Exceptional Item 0 0 54.80 0 0 54.80 0 54.80 0
10 Profit/(Loss) before Tax (8-9) 443.58 -280.67 673.26 1638.87 448.19 -262.03 686.07 1704.74 1675.39
11 Tax Expense / benefit