FS Tata
FS Tata
(₹ in crores)
                                                                                                                                   As at                    As at
Particulars                                                                                                      Notes
                                                                                                                         March 31, 2024          March 31, 2023
I.     ASSETS
       (1)   NON-CURRENT ASSETS
             (a)  Property, plant and equipment                                                                  3(B)          73,124.66                  76,641.43
             (b)  Capital work-in-progress                                                                       3(C)          10,937.33                   5,219.87
             (c)  Right of use assets                                                                             4             8,059.49                   7,801.04
             (d)  Goodwill                                                                                        5               860.26                     840.60
             (e)  Other intangible assets                                                                        6(B)          39,241.05                  46,796.69
             (f)  Intangible assets under development                                                            6(C)          24,761.10                   9,054.63
             (g)  Financial assets:
                  (i)     Investment in equity accounted investees                                                8             5,340.28                   4,675.66
                  (ii)    Other investments                                                                       9             3,377.55                   2,865.19
                  (iii)   Finance receivables                                                                     17            6,094.66                   7,416.41
                  (iv)    Loans                                                                                   11              441.58                     745.31
                  (v)     Other financial assets                                                                  12            9,084.66                   7,153.00
             (h)  Deferred tax assets (net)                                                                       22           13,099.02                   5,184.67
             (i)  Non-current tax assets (net)                                                                                  2,129.73                   1,556.36
             (j)  Other non-current assets                                                                        19            5,720.44                   8,602.05
                                                                                                                              202,271.81                 184,552.91
       (2)    CURRENT ASSETS
              (a)  Inventories                                                                                    13           47,788.29                  40,755.39
              (b)  Financial assets:
                   (i)    Investments                                                                             10           14,253.24                  18,838.31
                   (ii)   Trade receivables                                                                       14           16,951.81                  15,737.97
                   (iii)  Cash and cash equivalents                                                               15           40,014.76                  31,886.95
                   (iv)   Bank balances other than (iii) above                                                    16            5,791.93                   5,128.61
                   (v)    Finance receivables                                                                     17           24,069.50                  23,417.31
                   (vi)   Loans                                                                                   11              196.70                     123.53
                   (vii)  Other financial assets                                                                  12            8,121.47                   4,966.03
              (c)  Current tax assets (net)                                                                                       101.15                     259.26
              (d)  Other current assets                                                                           20           10,429.39                   9,587.33
                                                                                                                              167,718.24                 150,700.69
       (3)   Assets classified as held-for-sale                                                                   21              673.91                     827.78
       TOTAL ASSETS                                                                                                           370,663.96                 336,081.38
II.    EQUITY AND LIABILITIES
       EQUITY
       (a)   Equity share capital                                                                                 23              766.50                     766.02
       (b)   Other equity                                                                                         24           84,151.52                  44,555.77
             Equity attributable to owners of Tata Motors Limited                                                              84,918.02                  45,321.79
             Non-controlling interests                                                                                          8,175.91                   7,277.72
                                                                                                                               93,093.93                  52,599.51
       LIABILITIES
       (1)    NON-CURRENT LIABILITIES
              (a)  Financial liabilities:
                   (i)     Borrowings                                                                             26           62,148.53                  88,695.81
                   (ii)    Lease liabilities                                                                                    7,669.52                   7,568.49
                   (iii)   Compulsorily Convertible Preference Shares - liability portion                                       2,547.90                   2,500.00
                   (iv)    Other financial liabilities                                                            28            1,673.12                   5,822.47
              (b)  Provisions                                                                                     31           16,536.66                  13,196.53
              (c)  Deferred tax liabilities (net)                                                                 22            1,143.35                   1,406.95
              (d)  Other non-current liabilities                                                                  32           12,233.95                   9,264.29
                                                                                                                              103,953.03                 128,454.54
       (2)    CURRENT LIABILITIES
              (a)  Financial liabilities:
                   (i)     Borrowings                                                                             27           36,351.56                  36,964.66
                   (ii)    Lease liabilities                                                                                    1,092.89                     884.48
                   (iii)   Trade payables                                                                         30
                           (a)      Total outstanding dues of micro and small enterprises                                         502.31                     316.01
                           (b)      Total outstanding dues of creditors other than micro and small enterprises                 87,540.64                  71,739.76
                           (c)      Acceptances                                                                                 5,935.57                   7,195.99
                   (iv)    Other financial liabilities                                                            29           15,385.12                  13,828.58
              (b)  Provisions                                                                                     31           12,291.47                  11,810.66
              (c)  Current tax liabilities (net)                                                                                1,527.14                   1,254.19
              (d)  Other current liabilities                                                                      33           12,990.30                  11,033.00
                                                                                                                              173,617.00                 155,027.33
       TOTAL EQUITY AND LIABILITIES                                                                                           370,663.96                 336,081.38
See accompanying notes to consolidated financial statements
In terms of our report attached                                   For and on behalf of the Board
SHIRAZ VASTANI                                                    GIRISH WAGH [DIN: 03119361]                            MALOY KUMAR GUPTA [ACS: 24123]
Partner                                                           Executive Director                                     Company Secretary
Membership No.: 103334
UDIN: 24103334BKGEOQ8625
Place: Mumbai                                                                                                            Place: Mumbai
Date: May 10, 2024                                                                                                       Date: May 10, 2024
XIII.    Total comprehensive income for the year (net of tax) (XI+XII)                                                         38,130.67                  774.54
         Attributable to:
               (a) Shareholders of the Company                                                                                 37,764.33                  479.20
               (b) Non-controlling interests                                                                                      366.34                  295.34
XIV.     Earnings per equity share (EPS)                                                                     48
         (a) Ordinary shares (face value of ₹2 each):
               (i) Basic EPS                                                                                     ₹                  81.95                   6.29
               (ii) Diluted EPS                                                                                  ₹                  81.88                   6.29
         (b) ‘A’ Ordinary shares (face value of ₹2 each):
               (i) Basic EPS                                                                                     ₹                  82.05                   6.39
               (ii) Diluted EPS                                                                                  ₹                  81.98                   6.39
See accompanying notes to consolidated financial statements
In terms of our report attached                                 For and on behalf of the Board
SHIRAZ VASTANI                                                  GIRISH WAGH [DIN: 03119361]                            MALOY KUMAR GUPTA [ACS: 24123]
Partner                                                         Executive Director                                     Company Secretary
Membership No.: 103334
UDIN: 24103334BKGEOQ8625
Place: Mumbai                                                                                                          Place: Mumbai
Date: May 10, 2024                                                                                                     Date: May 10, 2024
Non-cash transactions:
  Liability towards property, plant and equipment and intangible assets purchased on credit/                4,870.08                 3,941.33
  deferred credit
SHIRAZ VASTANI                                     GIRISH WAGH [DIN: 03119361]                      MALOY KUMAR GUPTA [ACS: 24123]
Partner                                            Executive Director                               Company Secretary
Membership No.: 103334
UDIN: 24103334BKGEOQ8625
Place: Mumbai                                                                                       Place: Mumbai
Date: May 10, 2024                                                                                  Date: May 10, 2024
2023-24
                                B. Other Equity
                                                                                                                                                                                                                                                                                                                                                                (₹ in crores)
                                                                                                                                       Reserves                                                                                                           Other components of equity
                                                                                                                                                                                                                                                                                                                               Attribut-
                                                                                                               Share                                  Reserve for                                                                             Debt         Equity                                                                able to
                                                                                            Share-                                                                                                                                                                                                           Currency                          Non-con-
                                                                                                          application    Capital Debenture               research                       Earned                                        instruments   instruments                                 Cost of                         Owners                    Total other
                                Particulars                             Securities           based                                                                       Special                     Capital      Retained                                                   Hedging                            trans-                           trolling
                                                                                                              money redemption redemption             and human                        surplus                                      through Other through Other                                hedging                           of Tata                      equity
                                                                         Premium         payments                                                                       reserve                     Reserve       earnings                                                   Reserve                            lation                         interests
                                                                                                             pending    reserve    reserve           resource de-                      reserve                                     Comprehensive    Comprehen-                                 reserve                          Motors
                                                                                           reserve                                                                                                                                                                                                            reserve
                                                                                                           allotment                                   velopment                                                                           Income    sive Income                                                                Limited
                                Opening balance as at April 1, 2023     14,164.33            63.22             2.46        2.28        211.34             200.74         643.24          45.65 1,164.20           25,251.02                458.80             570.85        (6,555.88) (1,005.48)            9,339.00         44,555.77         7,277.72          51,833.49
                                 SHIRAZ VASTANI                                                                                                      GIRISH WAGH [DIN: 03119361]                                                                                                             MALOY KUMAR GUPTA [ACS: 24123]
                                 Partner                                                                                                             Executive Director                                                                                                                      Company Secretary
                                 Membership No.: 103334
                                 UDIN: 24103334BKGEOQ8625
                                 Place: Mumbai                                                                                                                                                                                                                                               Place: Mumbai
                                 Date: May 10, 2024                                                                                                                                                                                                                                          Date: May 10, 2024
      282
               Consolidated Statement of Changes in Equity for the year ended March 31, 2023
  283
                A. Equity Share Capital
                                                                                                                                                                     (₹ in crores)
                                                                                                                                                            Equity Share Capital
                        Balance as at April 1, 2022                                                                                                                       765.88
                        Issue of shares on exercise of stock options by employees                                                                                           0.14
                        Balance as at March 31, 2023                                                                                                                      766.02
               B. Other Equity
                                                                                                                                                                                                                                                                                (₹ in crores)
REPORT
                                                                                                           Reserves                                                                                 Other components of equity
                                                                                                                                                                                                                                                         Attribut-
                                                                                      Share                            Reserve for                                                          Debt         Equity                                            able to
INTEGRATED
                                                                        Share-                                                                                                                                                              Currency
                                                                                 application    Capital Debenture         research               Earned                             instruments   instruments                     Cost of                 Owners     Non-con- Total other
               Particulars                              Securities       based                                                        Special              Capital   Retained                                      Hedging                     trans-                  trolling
                                                                                     money redemption redemption       and human                surplus                           through Other through Other                    hedging                   of Tata                equity
                                                         Premium     payments                                                        reserve              Reserve    earnings                                      Reserve                     lation                interests
                                                                                    pending    reserve    reserve     resource de-              reserve                          Comprehensive    Comprehen-                     reserve                  Motors
                                                                       reserve                                                                                                                                                               reserve
                                                                                  allotment                             velopment                                                        Income    sive Income                                            Limited
  4
               Opening balance as at April 1, 2022      14,137.14        38.28        6.39        2.28     411.14          200.74     617.25      45.65   1,164.20   22,946.58           399.74         663.22    (5,519.59)       65.95    8,616.39    43,795.36    4,271.06     48,066.42
               Profit for the year                              -            -           -           -          -               -          -          -          -    2,414.29                -              -             -           -           -     2,414.29      275.58      2,689.87
               Remeasurement gains/(losses) on
               defined benefit obligations (net)                 -           -            -          -           -               -          -         -          -    (163.18)                 -              -            -            -           -    (163.18)           -      (163.18)
               Other comprehensive income /(loss)
               for the year                                      -           -            -          -           -               -          -         -          -           -            78.92         (92.37)   (1,355.78) (1,105.44)       722.61    (1,752.06)      19.76    (1,732.30)
REPORTS
               Total comprehensive income/(loss)
               for the year                                      -           -            -          -           -               -          -         -          -    2,251.11             78.92        (92.37)   (1,355.78) (1,105.44)       722.61       499.05      295.34        794.39
STATUTORY
               Amounts recognised in inventory                   -           -            -          -           -               -          -         -          -           -                 -              -       319.49      34.01            -       353.50           -        353.50
               Amount reclassified to profit and loss            -           -            -          -           -               -          -         -          -           -           (19.86)              -            -          -            -       (19.86)          -        (19.86)
               Tranfer from debenture redemption
               reserve                                           -           -            -          -    (199.80)               -          -         -          -     199.80                  -              -            -            -           -            -          -               -
               Transactions with owners of the
  132
               company
               Share based payments                              -       30.03            -          -           -               -          -         -          -           -                 -              -            -            -           -       30.03           -         30.03
               Money received on exercise of stock
               options by employees                         23.40            -       (3.93)          -           -               -          -         -          -           -                 -              -            -            -           -       19.47           -         19.47
               Exercise of stock option by
               employees                                     3.79       (3.79)            -          -           -               -         -          -          -           -                 -              -            -            -           -            -          -               -
               Transfer of lapsed stock options                 -       (1.30)            -          -           -               -         -          -          -        1.30                 -              -            -            -           -            -          -               -
               Transfer (from)/to retained earnings             -            -            -          -           -               -     25.99          -          -     (25.99)                 -              -            -            -           -            -          -               -
FINANCIALS
               Issue of perpetual instrument
               classified as equity by a subsidiary
CONSOLIDATED
               (refer note below)                                -           -            -          -           -               -          -         -          -           -                 -              -            -            -           -            -     360.00        360.00
               Proceeds from Compulsorily
               Convertible Preference Shares (net of
  262
               Debt issue cost)                                  -           -            -          -           -               -          -         -          -           -                 -              -            -            -           -            -   2,472.39      2,472.39
               Acquisition of Non-Controlling
               Interest                                          -           -            -          -           -               -          -         -          -    (121.78)                 -              -            -            -           -    (121.78)       19.81      (101.97)
               Distribution to Non-Controlling
               Interest                                         -            -           -           -          -               -          -          -          -           -                -              -             -          -            -            -    (140.88)      (140.88)
               Balance as at March 31, 2023             14,164.33        63.22        2.46        2.28     211.34          200.74     643.24      45.65   1,164.20   25,251.02           458.80         570.85    (6,555.88) (1,005.48)     9,339.00    44,555.77    7,277.72     51,833.49
Note: During the year ended March 31, 2023, Tata Motors Finance Limited, a subsidiary of the Company issued perpetual securities of ₹ 360.00 crores bearing a coupon interest rate of 9.23% and 9.30% per annum , with a
FINANCIALS
               step up provision if the securities are not called after 10 years from the issue date. The payment of any coupon may be cancelled or suspended at the discretion of the Board of Directors of Tata Motors Finance Limited.
STANDALONE
               Accordingly, the Company had accounted these securities as equity instruments and any amount attributable to investors of these perpetual securities had been presented as non-controlling interest.
  383
                For B S R & Co. LLP                                                                          N CHANDRASEKARAN [DIN: 00121863]                                                                     P B BALAJI
                Chartered Accountants                                                                        Chairman                                                                                             Group Chief Financial Officer
                Firm’s Registration No: 101248W/W-100022
                SHIRAZ VASTANI                                                                               GIRISH WAGH [DIN: 03119361]                                                                          MALOY KUMAR GUPTA [ACS: 24123]
                Partner                                                                                      Executive Director                                                                                   Company Secretary
                Membership No.: 103334
                UDIN: 24103334BKGEOQ8625
                Place: Mumbai                                                                                                                                                                                     Place: Mumbai
                Date: May 10, 2024                                                                                                                                                                                Date: May 10, 2024