Annexure-V
 
           
CASH FLOW STATEMENT          
          (Rs In Thousands)
             
PARTICULARS   Year 0 Year I Year II Year III  
             
             
SOURCES OF FUNDS            
             
             
 INCREASE IN FARMER'S SHARE                        62.50                           -                           -                        -    
             
 NET PROFIT                             -                       (17.45)                    46.05                 34.27  
             
             
 INCREASE IN SUBSIDY                        25.00                           -                           -                        -    
              
 DEPRECIATION                          12.95                    12.95                 12.95  
             
 PRELIMINARY EXP.W/O                               -                           -                        -    
             
 INCREASE IN  TERM LOAN                        37.50                           -                           -                        -    
             
 INCREASE IN WC                              -                             -                           -                        -    
             
             
             
             
   TOTAL                    125.00                      (4.50)                    59.00                 47.22  
             
             
 DEPLOYMENT            
              
             
 INCREASE IN FIXED ASSETS                      125.00                           -                           -                        -    
             
 PRELIMINARY EXPENSES                             -                             -                           -                        -    
             
 DECREASE IN TERM LOAN                             -                             -                       6.82                   6.82  
             
 INCREASE IN CURRENT ASSETS                             -                             -                           -                        -    
             
 INTEREST PAYMENT                               -                           -                        -    
             
 TAXES                               -                           -                        -    
             
 DIVIDEND                               -                           -                        -    
             
             
             
             
 TOTAL                      125.00                           -                       6.83                   6.83  
             
                 
               
             
 OPENING BALANCE                               -                      (4.50)                 47.67  
              
 SURPLUS/DEFICIT                             -                        (4.50)                    52.18                 40.39  
             
 CLOSING BALANCE                             -                        (4.50)                    47.67                 88.06  
             
Annexure-IV
 
           
PROJECTED BALANCE SHEET         (Rs. in Thousands)
             
             
PARTICULARS   Year 0 Year I Year II Year III  
             
             
LIABILITIES            
             
 FARMER'S SHARE                         62.5                       62.5                     62.5                   62.5  
             
 CAPITAL SUBSIDY                         25.0                       25.0                     25.0                   25.0  
             
 RESERVES & SURPLUSES                             -                        (17.5)                     28.6                   62.9  
             
 TERM LOAN                         37.5                       37.5                     30.7                   23.9  
             
 WC                              -                             -                           -                        -    
             
             
             
 TOTAL                        125.0                      107.5                    146.8                 174.2  
             
             
 ASSETS            
             
 FIXED ASSETS                        125.0                      125.0                    112.1                   99.1  
             
 LESS DEPRECIATION                           13.0                     13.0                   13.0  
             
 NET BLOCK                        125.0                      112.0                     99.1                   86.2  
             
             
 CURRENT ASSETS                             -                             -                           -                        -    
             
 PRELIMINARY EXP.NOT W/O                             -                             -                           -                        -    
             
             
 CASH & BANK BALANCE            
                             (4.5)                     47.7                   88.1  
             
             
 TOTAL                        125.0                      107.6                    146.8                 174.2  
                              -                           0.0                         -                      (0.0)  
                 
             
 Annexure-VI
                                      -  
PROJECTED PROFIT AND LOSS ACCOUNT         (Rs In Thousands)
             
             
    Year I Year II Year III    
             
             
SALES REALISATION                             -                         78.0                     65.0    
             
             
TOTAL COSTS                             -                         14.7                     14.3    
             
             
GROSS PROFIT                             -                         63.3                     50.7    
             
DEPRECIATION                         13.0                       13.0                     13.0    
             
INTEREST ON TERM LOAN                           4.5                         4.3                       3.5    
             
PROFIT BEFORE TAX                        (17.5)                       46.1                     34.3    
             
TAXES                             -                             -                           -      
             
PROFIT AFTER TAX                        (17.5)                       46.1                     34.3    
             
DIVIDEND                             -                             -                           -      
             
RETAINED PROFIT                        (17.5)                       46.1                     34.3    
             
NET CASH ACCRUALS                          (4.5)                       59.0                     47.2    
             
             
             
             
PROFIT & LOSS ACCOUNT            
             
             
OPENING BALANCE   0.0 -17.5 28.6    
             
             
CLOSING BALANCE   -17.5 28.6 62.9    
             
 
Annexure-IX
DISCOUNTED CASHFLOW STATEMENT         (Rs In Thousands)
                         
                         
PARTICULARS   Year I Year II Year III Year IV Year V Year VI Year VII Year VIII Year IX Year X TOTAL
                         
                         
                         
                         
CAPITAL COST   125.0                           -   0.0     0.00     0.00  
                         
GROSS REVENUE   0.0 78.0 65.0 0.0 78.0 65.0 0.0 78.0 65.0 0.00  
                         
PROD & OTHER COSTS   0.0 14.7 14.3 0.0 14.7 14.3 0.0 14.7 14.3 0.00  
                         
Salvage Value         0.0           0.00  
                         
                         
GROSS SURPLUS   -125.0 63.3 50.7 0.0 63.3 50.7 0.0 63.3 50.7 0.0  
                         
                         
DF @ 15%                        0.870                      0.756                    0.658                 0.572              0.497        0.432        0.376        0.327        0.284        0.247  
                         
PW @ 15%   -108.7 47.9 33.3 0.0 31.5 21.9 0.0 20.7 14.4 0.0 61.00
                         
DF @ 30%   0.769 0.592 0.455 0.350 0.269 0.234 0.204 0.177 0.154 0.134  
                         
PW @ 30%   -96.2 37.5 23.1 0.0 17.0 11.9 0.0 11.2 7.8 0.0 12.32
                         
                         
                         
                         
                         
                         
    IRR  =                        16.96                  
                         
                         
DF @ 11%                        0.901                      0.812                    0.731                 0.659              0.593        0.535        0.482        0.434        0.391        0.352  
                         
PW  OF OPERATIONAL CASH FLOW   0.0 51.4 37.1 0.0 37.6 27.1 0.0 27.5 19.8 0.0 200.41
                         
NPV OF OERATIONAL CASH FLOW   200.4                    
                         
INITIAL INVESTMENT   125.0                    
                         
BENEFIT COST RATIO   1.6                    
                         
                         
Annexure-XII
BREAK EVEN ANALYSIS          
        (Rs In Thousands)  
           
PARTICULARS         Year III
           
        (At Optimum Level)
           
           
GROSS SALES         65.0
           
FIXED COST(INCL DEP.& INT.)         30.7
           
VARIABLE COST         0.0
           
CONTRIBUTION         65.0
           
BREAK EVEN POINT (%)         47.3
           
CASH BEP (%)         47.3
           
           
           
 
  Annexure-X
           
DEBT SERVICE COVERAGE RATIO       (Rs In Thousands)    
             
             
    Year I Year II Year III    
             
             
NET PROFIT after tax   -17.5 46.1 34.3    
             
DEPRECIATION   13.0 13.0 13.0    
             
PRELIMINARY EXP.W/O ADDED BACK   0.0 0.0 0.0    
             
INTEREST   4.5 4.3 3.5    
             
             
TOTAL   0.0 63.3 50.7    
             
             
             
TERM LOAN INTEREST   4.5 4.3 3.5    
             
TERM LOAN REPAYMENT   0.0 6.8 6.8    
             
             
             
TOTAL   4.5 11.1 10.3    
             
             
DSCR   0.0 5.7 4.9    
             
AVERAGE DSCR         4.40  
             
Annexure-XI
           
PAY BACK PERIOD         (Rs In Thousands)  
             
             
PARTICULARS     Year I Year II Year III  
             
             
             
CAPITAL INVESTMENT     125.0   0.0  
             
NET CASH ACCRUALS     -4.5 59.0 47.2  
             
CUMULATIVE INCOME     -4.5 54.5 101.7  
             
             
             
             
             
             
    PAYBACK PERIOD   3.47 YEARS  
             
             
Annexure-II
COST OF PRODUCTION & PROFITABILITY ( Rupees In thousands)
             
         
PARTICULARS     Year I Year II Year III  
             
             
INCOME                               -                       78.0                   65.0  
             
Sales                               -                       78.0                   65.0  
             
COST                               -                       14.7                   14.3  
             
VARIABLE                               -                           -                        -    
             
FREIGHT                               -                           -                        -    
             
FIXED                               -                       14.7                   14.3  
             
PLANTING MATERIAL                               -                           -                        -    
MANURE/FERTILIZERS/CHEMICALS                               -                         7.0                     7.0  
DIRECT LABOUR COST                               -                         2.1                     2.1  
OTHER COST                               -                         2.0                     2.0  
HARVESTING & TRANSPORTATION COST                               -                         3.1                     2.7  
GENERAL EXPENSES                               -                         0.5                     0.5  
             
             
GROSS PROFIT                               -                       63.3                   50.7  
             
DEPRECIATION                           13.0                     13.0                   13.0  
             
INTEREST -TERM LOAN                             4.5                       4.3                     3.5  
PRE- OPERATIVE EXP.W/O                               -                           -                        -    
PROFIT BEFORE TAX                          (17.5)                     46.1                   34.3  
TAXES                               -                           -                        -    
             
PROFIT AFTER TAXES                          (17.5)                     46.1                   34.3  
             
DIVIDEND %                               -                           -                        -    
DIVIDEND AMOUNT                               -                           -                        -    
             
RETAINED PROFIT                          (17.5)                     46.1                   34.3  
             
NET CASH ACCRUAL                            (4.5)                     59.0                   47.2