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Purohit Construction LtdResults, 27-05-2025: Result

27-05-2025 | 03:24 pm

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PUROH IT CON.ITRUCTION TIMITED

CIN : L45200GJ1991 PLC015878

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May 27,2025

To,

The Manager Listing,

The Bombay Stock Exchange Limited

P.J.Tower,

Dalal Street,

Mumbai-400 0001

Dear Sir/Madam,

Subject

Ref

: Outcome of Board of Directors Meeting held on 27th May,2O2S

: Purohit Construction Limited - 538993

This is to inform you that, the Board of Directors at their meeting held on today i.e. 27th May, ZO2S at

401, Purohit House, Opp. Sardar Patel Stadium, Navrangpura, Ahmedabad -380009, had considered

following matter.

t' The Board had considered and approved the Standalone Audited Financial Result for the fourth

Quarter and Year ended 31't March, 2025 as per regulation 33 of the SEBI (LODR) Regulation,

2015. The Statutory Auditor has submitted an unmodified Audit Report on Financial Result.

The meeting of the Board of directors of the company commenced at 2.30 p.m. and concluded at 3:00

p.m.

Kindly acknowledge the receipt and update your website with the same.

Thanking you.

For Purohit Construction Limi

Encl.:

t.

2.

3.

4.

Audited Financial Result for the quarter and year ended 31st March 2025.

Unmodified Auditor's Report on Financial Result.

Declaration on Audit Report with Unmodified Opinion.

Certificate of Correctness of Financial Results.

N ishit Sa fi'd ha ni

9 neeU. Office : 401, Purohit House, Opp. S.P. Stadium, Navrangpura, Ahmedabad-380 009, Gujarat, lndia I O :9t-79-26426486

E : purohitconstructlon@gmail.com, info@purohitconstruction.com, cs@purohitconstruction.com | @: www.purohltconstruction.com

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PUROHIT CONSTRUCTION LIMITED

CIN : L45200GJ1 991 PLC01 sB78

Regd.Office: 401, Purohit House, Opp. Stadium, Navrangpura, Ahmedabad_3g0 OO9

STATEMENT OF STANOALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2025

ln Lekhs

(a) Cost of Materials Consumed

(b) Purchases of Stock-in-Trade

c) Changes in lnventories of finished

work-in-Progress and Stock-rn-Trade

(1) lncome Tax

Profit / (Loss) for the period from discontinued (before tax)

ProfiU(Loss) for the period from gjscontinued (after tax)(8-9)

Profit / (Loss) for the period (7+1 O)

A. (i) ltems that witl not be reclassified to profit /

B. (i) ltems that will be reclassified to profit /

lncome tax relating to items that will be reclassified to proflt /

Paid up Eguity Share Capital (Face value of Rs. ,10

b) Diluted EPS(RS )

a) Basic EPS(Rs.)

and discontinued operations)

#ps

'i I qnmeoanau )r-o\

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Profit / (Loss) before exceptional items and tax

Profit /(Loss) after exceptional items and before tax

----------------Page (1) Break----------------

AUDITED STANDALONE BALANCE SHEET AS AT 31ST MARCH 2025

STATEMENT OF CASH FLOWS FOR THE PERIOD ENDED 31ST MARCH, 2025

a) Property, plant and equipment

ili. Other Financlal Assets

c) Deferred tax Assets (net)

d) Non-Current tax (net)

e) Other non-current assets

a) Financial assets

i. Trade receivables

ii. Cash and cash equivalents

b) Current Tax Asset (Net)

c) Other current assets

TOTAL ASSETS

a) Equity share capital

Total Equi

Liabilities

Total Non-Current Liabilities

a) Financial liabilities

ii. Trade payables

Total outstanding dues of creditors other than mlcro enferprises anO

c) Other current liabilities

Total Current Liabilities

TOTAL EQUITY & LIABILITIES

1CASH FROM OPERATING ACTIVITIESPROFIT BEFORE TAx

-26 6143.98Adiustment For

:Depreciation

0.700.70lnterest ExDenses

0.000.04Employer Expense/ (income) recognised as OCI _

-0.32-0.28Profit or loss of

sale of assets0.83-0.04

lnterest lncome00c0.01

Operating Profit Before Working Capital Changes-25.40-43.56

Adjustment For:

(lncrease) / Decrease in Trade Recelvables26.6024.73

(lncrease) / Decreaqe in Other assets-10.721 .18

(lncrease) / Decrease in lnventories0.000.00

Increase / (Decrease ) in Trade payables0.1014.1

lncrease / (Decrease ) in Otherfinancial liablities0.69-0.0c

lncrease / (Decrease) in ProvisionsLtt1.25

lncrease /(Decrease) in Other liabilities2.071.39

Cash generated from Operations-5.40-34.34

Taxes paid (net of refunds)0.000.00

Net Cash Flow from Operating Activities-5.40-34.34

6'PKS

f,(*rmeoauao)$'a>/7

(Rs. ln Lakhs)

i '1:l;lill!1i]::::2il:;.:r

I;A)JE I )Non-current assets

10.1911.72

iir0.020.02

1 .161.005.435.43

5.594.20

7.777.77

12.8512.85

2

43.0142.99

Current assets

1 37.96164.565.01

1.19

1.20

22.1312.76

166.29178.51

209.31221.50

ilEQUITY AND LIABILITIES

trq u rty

440.56440.56o) urner equtty

-266.09-240 56

174.47200.00

Non-current liabilities

a) Provisions7.446. 19

7.446.19

Current liabilities

i. Borrowingst).b/o.4b

- rurar outsranotng oues oT mtcro enterpnses and small enterorises033u.zo

7927.88

iii. Other financial liabilities1 .110.42

b) Provisionso.14

2.220.15

27.4015.31

209.31221.50

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Notes:

'1 The Above Financial Results have been reviewed by the Audit committee and approved by the Board of Drrectors of the company at their respectiv,-. meetings held on' 27 05.2025

6

The above result for the quarter and year ended on 31 03.2025 has been prepared in accordance with the companies (lndian Accounting standards) Rules 201 5 (lnd AS),prescribed

under section 1 33 of the companies Act 201 3 and other recognized accounlLng practices and policies to the extent applicable.

'Ihe financral results for the quarter and year ended 31st [,4arch, 2025 have been

revie,rued and audited repectjvly by the statutory auditors of the comprany. The statutoryAuditor expressed an unmodified opinion

During the quarter ended March 31, 2025, the company received an order frorn the Goods and services Tax (GST) Department for the financial yeat 2017-lg,raising a

demand of {4'16 crore, comprlsing {2 08 crore towards disallowance of rnput ta}: credil, applicable interest thereon and {2.0g crore towards penalty.

The company has filed an appeal before the commissioner (Appeals) and, baserd on internal evaluation and legal advice, believes that it has a strong oase on merits and

expects a favourable outcome. Accordingly, no provision has been made in the financjal results. The said amou;t has been disclosed as a contingent liabitity.

The figures of previous reporting periods have been regrouped wherever necessory to correspond with the figures of the current reporting period.

The above financial results are available on the company's website wvw.purohitsonstruction.com and also on the website of BSE (www.bseindia.com)

Place : Ahmedabad

Dale 2710512025

/l"d;"Jffi\*e Board or Directors

Narendra Maganlal Purohit

(Chairman & Managing t)ircctor)

DIN 007551 95

]ASH FLOW FFIOM IN\/trQTIiIN2

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ua,sr (pururrasuJ or propeny, planl and eoutoment00c)oc

iHurcnase) / sale of Investments00coornterest

Received0.0c00r

nterest paid0.0c-0 0z

\et Cash Flow from lnvesting Activitios

]ASH FLOW FROM FINANCING ACTIVITIES _--

o.o0'1.9€

rnsuc ur onale uaDllal00(0.0c

iltorease/ / oecrease tn loan00r12 39

,vvssvo Iu'il , r,^epdyrlenr or/ snon - t erm Horrowtnqs921646

rsr vq.rr r rvw rruilt rtnanctng Acuvtttes9.2118 85

!sU,,u,saps,(ucuredsel tn uaSn 6( UaSn EqUlvalent: (A + B + C)-11 Ft

Joo, , dr ru vdsr r cqurvatenrs aI Ine Oegtnnlng of the vear1!14.74

/qs,, q,,v voril vqurvdrcilLs at tile eno oI Ine vear5.011.19

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PuRoHrr coNrrRucnoN uMrrED

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clN : L452ooGJ1ee1PLc015878 lN#@J

AN ISO 9001:2015 COMPANYiiff

E@@CM

Date:2Jtt' May,2025

The Secretary,

BSE Limited,

C orporate Relationships Dept,

I st Floor, New Trading Ring,

P. J. Towers, Dalal Street,

Fort, Mumbai- 400001

Script Code: 538993

Dear Sir,

DECL,ARATION ONAADIT REPORT WITH UNMODIFIED OPINION

I, Narendra Maganlal Purohit (DIN: 00755195), Managing Director of Purohit Construction Limited

(CIN: L45200GJ1991PLC015878) having its registered office at 401, Purohit House, Opp. Sardar Patel

Stadium, Navrangpura, Ahmedabad, Gujarat-380009, hereby declare that, the Statutory Auditor of the

Company, M/s. NARESH J PATEL & CO, Chartered Accountants (Firm Reg. Number: L23227W) have

issued an Audit report with unmodified opinion on audited financial result for the quarter and year ended

on 3l't March,2025.

This declaration is issued pursuant to the amendments made by Securities and Exchange Board of India

(Listing Obligations and Disclosure Requirements) (Amendment) Regulations, 2016 vide notification

No.SEBI/LAD-NRO/GN/2016-|TlOOl dated 25ft May, 2016 and Circular No. CIR/CFD1CMD156120I6

dated May 27,2016.

Kindly take this declaration on your record.

For Purohit Construction Limited

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L

Narendra Purohit

Managing Director

DIN:00755195

Place: Ahmedabad

Date:2710512025

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9 negd. Office : 401, Purohit House, Opp. S.P. Stadium, Navrangpura, Ahmedabad-380 009, Gujarat, lndia I O z9L-79-26426486

g : purohitconstruction@gmail.com, info@purohitconstruction.com, cs@ purohitconstruction.com | @ : www.purohitconstruction'com

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PUROHIT CON.fTRUCTION LIMITED

GIN : L45200GJ1991 PLC01 5878

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DATE:2710s1202s

To,

The.Board of Directors

Purohit Construction Limited

Pursuant to Regulation 33(2) (a) of SEBI (Listing Obligations and Disclosure Requirements)

Regulations,2Ol5,l hereby certify that the financial results of the Company for the fourth

Quarter and Year ended 31't March, 2025 placed before the meeting do not contain any

false or misleading statement or figures and do not omit any material fact which may make

the statements or figures contained therein misleading.

For Purohit Construction Limited

(DlN: 00755195)

Mr. Narendra M Purohit,

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9 negd. Office : 401, Purohit House, Opp. S.P. Stadium, Navrangpura, l\hmedabad-380 OO9, Gujarat, lndia I O t9L-79-26426486

E : purohitconstruction@gmail.com, info@purohitconstruction.com, cs@purohitconstruction.com | @: www.purohitconstruction.com

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