FCS Software Share Price & Earnings Call Analysis

Financials of FCS Software

Quarterly Results, Profit & Loss, Balance Sheet, Cash Flows, and Ratios are shown below as separate sections.

Financials of FCS Software

Quarterly Results

Quarter-by-quarter operating performance

Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales +9.218.298.589.319.079.609.189.309.258.818.318.2114.86
Expenses +7.416.596.867.406.586.937.498.157.857.977.829.4215.25
Operating Profit1.801.701.721.912.492.671.691.151.400.840.49-1.21-0.39
OPM %19.54%20.51%20.05%20.52%27.45%27.81%18.41%12.37%15.14%9.53%5.90%-14.74%-2.62%
Other Income +0.570.590.60-5.92-5.481.272.022.102.032.022.412.431.09
Interest0.470.320.500.310.135.411.401.411.391.071.351.361.35
Depreciation0.821.761.021.040.890.650.630.550.541.240.820.870.97
Profit before tax1.080.210.80-5.36-4.01-2.121.681.291.500.550.73-1.01-1.62
Tax %29.63%38.10%30.00%2.80%13.72%-46.70%19.64%14.73%16.00%98.18%41.10%22.77%20.99%
Net Profit +0.760.130.56-5.52-4.57-1.131.361.101.260.010.43-1.24-1.97
EPS in Rs0.000.000.00-0.03-0.03-0.010.010.010.010.000.00-0.01-0.01

Financials of FCS Software

Profit & Loss

Annual income statement trend

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales +133.4176.5642.4936.6034.3140.4037.3334.0634.6234.9136.7036.5440.19
Expenses +146.8677.4547.2144.1835.5837.0139.5928.4428.8829.3329.3131.4540.46
Operating Profit-13.45-0.89-4.72-7.58-1.273.39-2.265.625.745.587.395.09-0.27
OPM %-10.08%-1.16%-11.11%-20.71%-3.70%8.39%-6.05%16.50%16.58%15.98%20.14%13.93%-0.67%
Other Income +4.806.3310.8910.216.552.250.35-10.260.802.54-9.528.177.95
Interest1.201.205.040.670.381.052.882.322.291.746.355.275.13
Depreciation47.6648.4846.5746.9262.21169.4818.204.623.864.203.612.963.90
Profit before tax-57.51-44.24-45.44-44.96-57.31-164.89-22.99-11.580.392.18-12.095.03-1.35
Tax %0.30%1.63%1.12%1.22%1.83%0.50%3.57%6.48%115.38%33.49%-0.33%25.65%
Net Profit +-57.68-44.96-45.95-45.50-58.36-165.71-23.80-12.33-0.051.46-12.053.73-2.77
EPS in Rs-0.35-0.27-0.28-0.27-0.34-0.97-0.14-0.07-0.000.01-0.070.02-0.02
Dividend Payout %0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%

Financials of FCS Software

Balance Sheet

Capital structure and asset base

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Sep 2025
Equity Capital165.96165.96165.96170.96170.96170.96170.96170.96170.96170.96170.96170.96170.96
Reserves366.02327.26231.79184.55169.85171.15133.40129.05176.93187.86257.60264.13259.87
Borrowings +8.786.041.108.283.3427.4327.0924.6121.8118.610.000.000.00
Other Liabilities +10.3712.0230.6733.6931.8515.3510.1911.929.4211.9427.7148.8947.80
Total Liabilities551.13511.28429.52397.48376.00384.89341.64336.54379.12389.37456.27483.98478.63
Fixed Assets +275.21239.17232.18197.35197.00212.90210.96204.64200.16196.56226.55229.93228.81
CWIP28.9916.8018.5125.2512.525.470.641.642.550.000.000.000.00
Investments91.4896.9429.5837.0794.77101.3190.5588.18143.92155.6166.5071.4770.29
Other Assets +155.45158.37149.25137.8171.7165.2139.4942.0832.4937.20163.22182.58179.53
Total Assets551.13511.28429.52397.48376.00384.89341.64336.54379.12389.37456.27483.98478.63

Financials of FCS Software

Cash Flows

Operating, investing and financing cash movement

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity +-0.384.6618.44-9.0168.44-0.92-5.243.864.382.2722.6610.21
Cash from Investing Activity +-29.641.98-32.47-12.66-57.37-19.45-2.911.410.692.069.11-0.12
Cash from Financing Activity +26.432.524.46-5.22-5.3223.03-3.21-4.80-5.08-4.94-24.96-5.27
Net Cash Flow-3.599.16-9.57-26.885.752.66-11.360.47-0.02-0.616.814.81
Free Cash Flow-9.0212.106.01-20.7166.57-25.85-10.481.992.052.1421.471.94
CFO/OP3%-524%-391%109%-5,477%-1%210%83%87%45%317%221%

Financials of FCS Software

Ratios

Working capital efficiency and return ratios

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Debtor Days80.6344.9677.6635.1044.5733.6153.2967.8320.7738.7919.4951.14
Inventory Days
Days Payable
Cash Conversion Cycle80.6344.9677.6635.1044.5733.6153.2967.8320.7738.7919.4951.14
Working Capital Days155.3212.25-97.24-261.58-115.115.3312.4286.70-8.43-55.41-34.31-204.88
ROCE %-10.13%-8.28%-9.00%-11.57%-16.14%-45.71%-4.86%1.13%1.08%0.96%3.13%2.33%

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