229 Statutory Reports 24 - 109 Financial Statements 110 - 263 Corporate Overview 01 - 23 Note 25 Changes in inventories of finished goods, work-in-progress and stock-in-trade 2021-22 2020-21 Stocks at close Finished goods 396.49 261.49 Work-in-progress 188.12 136.13 Stock-in-trade 23.92 3.58 608.53 401.20 Less: Stocks at commencement Finished goods 261.49 205.38 Work-in-progress 136.13 134.74 Stock-in-trade 3.58 0.66 401.20 340.78 (Increase) | Decrease in stocks (207.33) (60.42) (` cr) Note 26 Employee benefit expenses 2021-22 2020-21 Salaries, wages and bonus (refer Note 29.6) 311.35 284.17 Contribution to provident and other funds (refer Note 29.6) 21.19 18.78 Staff welfare 10.00 7.41 342.54 310.36 (` cr) Note 27 Finance costs 2021-22 2020-21 Interest on borrowings 5.53 5.56 Interest on financial liabilities at amortised cost 1.20 1.33 Interest on others 1.48 2.00 Other borrowings costs 0.96 0.46 9.17 9.35 (` cr) Note 28 Other expenses 2021-22 2020-21 Power, fuel and water 510.14 309.27 Freight charges 265.95 94.00 Manpower services 35.89 34.36 Consumption of stores and spares 61.82 54.91 Conversion and plant operation charges 57.32 64.60 Plant and equipment repairs 90.98 71.20 Building repairs 38.02 34.82 Sundry repairs 13.51 9.51 Rent 1.86 1.79 Rates and taxes 1.81 1.84 Insurance 18.26 14.86
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