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Amendment ti4 Page 349 of 868
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SEI Solar Power Private Limited
Statements of cash flows (unaudited)
INR INR
31 March 31 March
For the quarters ended 2016 2014
Cash flows from operating activities:
Net "'come 1,990,710 140,839
Adjustments to reconcile net Income to net cash used In operating activates:
Deprecation 18174,159 18.174159
Amoduatnn of deferred financing costs 868.730 871,057
Deemed taxes 7,843435 8,074,313
Changes n assets and Widnes
Accounts receivable (33,921,306) (5,209,671)
Restricted cash 12238,086 (29,714,897)
Other anent assets 742,987 1.744.422
Accourts pavane (587,036) &33.550
Acenatd exPinSes and other current liabhbon 5.004395 20.761,457
Cue to related Pada 544 436) 7,842,336
Net cash provided by operating activities 11,790.124 23,617.676
Cash flows from Investing activities:
Canal expenditures — (336,096.195)
Change in restnctee cash (51 124) (210.410)
Net cash used In Investing activities (51,124) (333,3013,835)
Cash flows from financing activities:
Principal payment& on knig4com debt (11.748.600) (1 091,496.0X)
Roceeds from ing.term debt — 1 402,134,477
Payment of defenee financing costs — (1,124,538)
Net cash (used In) provided by financing activities (11,748,000) 3C0,613 879
Net rCretts. (decrease) in cash and cash equevalents - (3,277,151)
Cash and cash equivalents at beginring of quarter 574 215 4,483,962
Cash and cash equivalents at end of quarter 574.215 1206.811
Supplemental disclosures of cash flow Information:
Cash paid for 'erest 31.467 534 29,969,4:6
Cash paid for Income taxes — —
Sue OCCP.Peasin0
F-29
http://cfdocs.btogo. corn:27638/cf/dna/pub/edgar/2015/07/20/0001193125-15-256461/d78... 7/20/2015
CONFIDENTIAL - PURSUANT TO FED. R. GRIM. P. 6(e) DB-SDNY-0058306
CONFIDENTIAL SDNY_GM_00204490
EFTA01366778
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