Page 260 - Hitachi IR 2025
P. 260
NOTES TO THE FINANCIAL STATEMENTS
30 OTHER EXPENSES*
All amount in Indian Rupees in Crores, except as stated otherwise
Consumption of stores and spares 38.31 36.83
Royalty and technology fees 254.75 190.71
Freight and forwarding 147.83 99.60
Commission (other than sole selling agent) 7.15 10.31
Power and fuel 63.92 70.70
Travelling and conveyance 71.07 60.13
Insurance 28.97 23.85
Rates and taxes (net) 13.60 3.77
Rent (refer note 36(b)) 14.81 4.13
Buildings 11.01 1.71
Plant and machinery 37.53 30.99
Corporate social responsibility expenditure (refer note 40) 4.26 3.68
Services from third parties 76.05 70.62
Testing and inspection charges 15.31 36.97
Group management fees 84.83 65.00
For the year ended
March 31, 2025
For the year ended
March 31, 2024
Repairs and maintenance
Loss on sale of property, plant and equipment (net) 1,278.67 995.85
Others 4.18 6.45
Impairment allowance/ bad debts/ advances written off 53.48 7.45
0.65 0.38
Bank charges 8.96 10.06
Legal and professional fees** 104.68 69.96
Information technology expenses 160.37 128.31
Director's fees and commission 1.42 1.40
Miscellaneous 75.53 62.84
*Also refer note 39.
** Includes auditor's remuneration (exclusive of goods and service tax and inclusive of out-of-pocket expenses and technology
surcharge) towards the following:
All amount in Indian Rupees in Crores, except as stated otherwise
For the year ended
March 31, 2025
For the year ended
March 31, 2024
Statutory audit fee 0.74 0.68
Tax audit fee 0.19 0.18
Limited review fee 0.45 0.42
Group audit fee 0.17 0.16
Other certification fee* - 0.15
Reimbursement of expenses - 0.02
1.55 1.61
* Net of ` 1.80 Crores incurred during the year ended March 31, 2025 towards QIP
258 Hitachi Energy India Limited