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Trade and Other Receivables
12 Months Ended
Mar. 31, 2021
Disclosure Of Trade And Other Receivables [Abstract]  
Trade and Other Receivables

21)

TRADE AND OTHER RECEIVABLES

 

 

 

As at March 31

 

Particulars

 

2020

 

 

2021

 

Trade and other receivables, net of provision

 

 

46,814

 

 

 

19,403

 

Due from employees

 

 

542

 

 

 

479

 

Security deposits, net of provision

 

 

8,152

 

 

 

5,900

 

Interest accrued on term deposits

 

 

557

 

 

 

1,549

 

Total

 

 

56,065

 

 

 

27,331

 

Non-current

 

 

2,658

 

 

 

2,154

 

Current

 

 

53,407

 

 

 

25,177

 

Total

 

 

56,065

 

 

 

27,331

 

 

The trade receivables primarily consists of airline, corporate and retail customers.

Security deposits include amounts paid in advance to suppliers of hotel and other services in order to guarantee the provision of those services.

The management does not consider there to be significant concentration of credit risk relating to trade and other receivables.

The Group’s exposure to credit and currency risks is disclosed in note 5 and 35.

The information related to impairment losses related to trade and other receivables is disclosed in note 35.

Trade and other receivables from related parties are disclosed in note 38.