VBL Annusxxaaal Reportsswsw
VBL Annusxxaaal Reportsswsw
VBL Annusxxaaal Reportsswsw
As at 31 December 2022
(` in million)
Notes As at As at
31 December 2022 31 December 2021
Assets
Non-current assets
(a) Property, plant and equipment 4A 54,415.78 51,551.72
(b) Capital work-in-progress 4B 6,066.32 4,966.08
(c) Right of use assets 4C 9,155.01 5,727.99
(d) Goodwill 5A 242.30 242.30
(e) Other intangible assets 5B 5,509.10 5,585.74
(f) Investment in associate and joint venture 6 0.04 -
(g) Financial assets
(i) Investments 7 0.01 0.01
(ii) Other financial assets 8 486.80 420.63
(h) Deferred tax assets (Net) 9 - 24.07
(i) Other non-current assets 10 6,266.77 1,839.23
Total non-current assets 82,142.13 70,357.77
Current assets
(a) Inventories 11 19,938.85 14,480.87
(b) Financial assets
(i) Trade receivables 12 2,993.38 2,212.49
(ii) Cash and cash equivalents 13 1,543.32 1,507.50
(iii) Bank balances other than (ii) above 14 1,309.35 1,858.72
(iv) Others 15 3,977.06 2,455.55
(c) Current tax assets (Net) 16 - 11.08
(d) Other current assets 17 4,278.34 2,934.92
Total current assets 34,040.30 25,461.13
Total assets 116,182.43 95,818.90
Equity and liabilities
Equity
(a) Equity share capital 18 6,495.50 4,330.33
(b) Other equity 19 44,528.30 36,468.75
Equity attributable to owners of the Parent Company 51,023.80 40,799.08
Non-controlling interest 1,131.07 1,167.89
Total equity 52,154.87 41,966.97
Liabilities
Non-current liabilities
(a) Financial liabilities
(i) Borrowings 20A 17,270.22 18,133.27
(ii) Lease liabilities 20B 1,654.25 312.63
(b) Provisions 21 2,041.13 2,085.43
(c) Deferred tax liabilities (Net) 9 3,368.48 3,111.41
(d) Other non-current liabilities 22 5.94 6.73
Total non-current liabilities 24,340.02 23,649.47
Current liabilities
(a) Financial liabilities
(i) Borrowings 20C 19,677.90 15,285.68
(ia) Lease liabilities 20D 235.77 136.02
(ii) Trade payables
(a) Total outstanding dues of micro enterprises and small 23 659.11 342.85
enterprises
(b) Total outstanding dues of creditors other than micro 23 7,583.50 6,774.68
enterprises and small enterprises
(iii) Other financial liabilities 24 5,593.90 3,929.66
(b) Other current liabilities 25 4,889.77 3,096.76
(c) Provisions 21 291.91 497.40
(d) Current tax liabilities (Net) 26 755.68 139.41
Total current liabilities 39,687.54 30,202.46
Total liabilities 64,027.56 53,851.93
Total equity and liabilities 116,182.43 95,818.90
Significant accounting policies 3
The accompanying notes are an integral part of the consolidated financial statements.
As per our report of even date attached.
For Walker Chandiok & Co LLP For O P Bagla & Co LLP For and on behalf of the Board of Directors of
Chartered Accountants Chartered Accountants Varun Beverages Limited
Firm’s Registration No.: 001076N/N500013 Firm’s Registration No.:
000018N/N500091
Ashish Gupta Neeraj Kumar Agarwal Varun Jaipuria Raj Pal Gandhi
Partner Partner Whole Time Director Whole Time Director
Membership No.: 504662 Membership No.: 94155 DIN 02465412 DIN 00003649
The accompanying notes are an integral part of the consolidated financial statements.
As per our report of even date attached.
For Walker Chandiok & Co LLP For O P Bagla & Co LLP For and on behalf of the Board of Directors of
Chartered Accountants Chartered Accountants Varun Beverages Limited
Firm’s Registration No.: 001076N/N500013 Firm’s Registration No.:
000018N/N500091
Ashish Gupta Neeraj Kumar Agarwal Varun Jaipuria Raj Pal Gandhi
Partner Partner Whole Time Director Whole Time Director
Membership No.: 504662 Membership No.: 94155 DIN 02465412 DIN 00003649
Notes:
(a) Reconciliation between the opening and closing balances in the balance sheet for liabilities arising from financing
activities, including both changes arising from cash flows and non-cash changes pursuant to Ind AS 7:
(` in million)
Non-current borrowings* Current borrowings Lease Liabilities
(Non-current and current)
Balance as at 01 January 2022 27,134.03 6,284.92 448.65
Cash flows (Net) 3,403.61 (7.97) (234.40)
Non-cash changes:
Recognition of lease liabilities - - 1,665.92
Impact of fair value changes 74.19 - -
Impact of exchange fluctuations 59.34 - 9.85
Balance as at 31 December 2022 30,671.17 6,276.95 1,890.02
(` in million)
Non-current borrowings* Current borrowings Lease Liabilities
(Non-current and current)
Balance as at 01 January 2021 24,920.39 7,138.58 346.65
Cash flows (Net) 2,139.55 (853.66) (188.65)
Non-cash changes:
Recognition of lease liabilities - - 341.37
Impact of fair value changes 89.27 - -
Impact of exchange fluctuations (15.18) - (50.72)
Balance as at 31 December 2021 27,134.03 6,284.92 448.65
*includes current maturity of long-term debts amounting to ` 13,400.95 million (31 December 2021: ` 9,000.76 million)
The accompanying notes are an integral part of the consolidated financial statements.
As per our report of even date attached.
For Walker Chandiok & Co LLP For O P Bagla & Co LLP For and on behalf of the Board of Directors of
Chartered Accountants Chartered Accountants Varun Beverages Limited
Firm’s Registration No.: 001076N/N500013 Firm’s Registration No.:
000018N/N500091
Ashish Gupta Neeraj Kumar Agarwal Varun Jaipuria Raj Pal Gandhi
Partner Partner Whole Time Director Whole Time Director
Membership No.: 504662 Membership No.: 94155 DIN 02465412 DIN 00003649
B. Other Equity
(` in million)
Particulars Note Attributable to Owners of the Company Non- Total
controlling
Reserve and surplus Exchange Total interests
differences attributable
Capital Capital Securities Share General Retained earnings on translating to owners of
reserve on reserve premium option reserve the financial the Group
consolidation outstanding statements
account of foreign
operations
Balance as at 01 January 2021 (2,279.78) 533.93 26,178.17 - 444.26 8,042.43 (565.89) 32,353.12 647.88 33,001.00
Profit for the year - - - - - 6,940.52 - 6,940.52 520.00 7,460.52
Other comprehensive income for the year
(Net of deferred taxes)
Re-measurement gains on defined - - - - - 67.05 - 67.05 0.01 67.06
benefit plans
Exchange differences arising on - - - - - - (365.92) (365.92) - (365.92)
translation of foreign operations
Dividend paid** (Refer note 41) - - - - - (1,082.58) - (1,082.58) - (1,082.58)
Amount utilised for bonus issue - - (1,443.44) - - - - (1,443.44) - (1,443.44)
Consolidated Statement of Changes in Equity
For the year ended 31 December 2022
(` in million)
Particulars Note Attributable to Owners of the Company Non- Total
controlling
Reserve and surplus Exchange Total interests
differences attributable
Capital Capital Securities Share General Retained earnings on translating to owners of
reserve on reserve premium option reserve the financial the Group
consolidation outstanding statements
account of foreign
operations
Balance as at 31 December 2021 21 (2,279.78) 533.93 24,734.73 - 444.26 13,967.42 (931.81) 36,468.75 1,167.89 37,636.64
Profit for the year - - - - - 14,974.33 - 14,974.33 526.81 15,501.14
Other comprehensive income for the year
(Net of deferred taxes)
Re-measurement gains on defined - - - - - 80.96 - 80.96 (0.11) 80.85
benefit plans
Exchange differences arising on - - - - - - (3,235.76) (3,235.76) (563.52) (3,799.28)
translation of foreign operations
Dividend paid** (Refer note 41) - - - - - (1,623.87) - (1,623.87) - (1,623.87)
CORPORATE OVERVIEW
The accompanying notes are an integral part of the consolidated financial statements.
As per our report of even date attached.
For Walker Chandiok & Co LLP For O P Bagla & Co LLP For and on behalf of the Board of Directors of
STATUTORY REPORTS
Ashish Gupta Neeraj Kumar Agarwal Varun Jaipuria Raj Pal Gandhi
Partner Partner Whole Time Director Whole Time Director
Membership No.: 504662 Membership No.: 94155 DIN 02465412 DIN 00003649
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