Ct Ramanathan Infrastructure Private Limited

Specializes in civil construction, railway contracts, and engineering works since 2008 in Chennai.

2008 | Chennai, Tamil Nadu (India) | Under Liquidation
Last Updated: April 24, 2024

Ct Ramanathan Infrastructure Profile

Key Indicators

  • Authorised Capital ₹ 15.00 Cr
  • Paid Up Capital ₹ 10.00 Cr
  • Company Age 17 Year, 16 Days
  • Last Filing with ROC 31 Mar 2011
  • Open Charges ₹ 77.55 Cr

About Ct Ramanathan Infrastructure

Ct Ramanathan Infrastructure Private Limited (CRIPL) is Under Liquidation company established on 04 Feb 2008 with its office registered at Chennai, Tamil Nadu, India and has been running since 17 Year, 16 Days with a paid up capital of 10.00 Cr. According to MCA records, 3 Directors are linked to this company as of 24 Apr 2024.

Company Details

  • Location

    Chennai, Tamil Nadu, India

  • Telephone

    +91-XXXXXXXXXX

  • Email Address

  • Website

    -

  • Social Media
    -

Corporate Identity Details

  • CIN/LLPIN

    U45200TN2008PTC066297

  • Company No.

    066297

  • Company Classification

    Private Limited Indian Non-Government Company

  • Incorporation Date

    04 Feb 2008

  • Date of AGM

    30 Sep 2011

  • Date of Balance Sheet

    31 Mar 2011

  • Listing Status

    Unlisted

  • ROC Code

    Roc Chennai

Industry

Infrastructure and Utilities

Who are the key members and board of directors at Ct Ramanathan Infrastructure?

Board Members (3)

NameDesignationAppointment DateStatus
Adaikalavan Shanthi Country flag representing In Director 04-Feb-2008Current
Ramanathan Adaikalavan Country flag representing In Director 04-Feb-2008Current
Swamynathan Murugan Country flag representing In Director 04-Feb-2008Current

Financial Performance of Ct Ramanathan Infrastructure.

Enhance accessibility to Ct Ramanathan Infrastructure's financial data by unlocking access to both Standalone and Consolidated balance sheets, Profit & Loss Statements, Ratios, Related Party Transactions, and additional relevant information.

Graph illustrating revenue growth over time
Graph showing profit and loss trends over time
  • Key Matrics
  • Balance Sheet
  • Profit and Loss
  • Cash Flow
  • Ratios
Metrics
(FY 2023)YOY Growth
(FY 2022)(FY 2021)(FY 2020)(FY 2019)
Total Revenue
Revenue from Operations
Total Assets
Profit or Loss
Net Worth
EBITDA

What is the Ownership and Shareholding Structure of Ct Ramanathan Infrastructure?

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Shareholding Indicator graph

Charges (Loans)

Open Charges

₹77.55 Cr

Satisfied Charges

₹0

Charges Breakdown by Lending Institutions

  • Reliance Asset Reconstruction Company Limited : 47.00 Cr
  • Bank Of Baroda : 20.00 Cr
  • Axis Bank Limited : 10.00 Cr
  • Srei Equipment Finance Private Limited : 0.55 Cr

Latest Charge Details

DateLenderAmountStatus
05 Apr 2012Srei Equipment Finance Private Limited₹1.99 MOpen
11 Aug 2010Bank Of Baroda₹20.00 CrOpen
31 Mar 2010Srei Equipment Finance Private Limited₹3.54 MOpen
22 Oct 2009Axis Bank Limited₹10.00 CrOpen
21 Jul 2008Reliance Asset Reconstruction Company Limited₹47.00 CrOpen

How Many Employees Work at Ct Ramanathan Infrastructure?

Ct Ramanathan Infrastructure has a workforce of 0 employees as of Apr 07, 2024. Unlock access to detailed historical data on individuals associated with the company, including employment records, contributions to the Employees' Provident Fund Organization (EPFO), and other related insights.

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Deals i

Graph showing company valuation over time

Gain comprehensive insights into the Deals and Valuation data of Ct Ramanathan Infrastructure, offering detailed information on various transactions, including security allotment data. Explore the intricate details of financial agreements, mergers, acquisitions, divestitures, and strategic partnerships that have shaped Ct Ramanathan Infrastructure's trajectory.

Rating

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Alerts

Alert Indicator

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Latest Updates, News, and FAQs on Ct Ramanathan Infrastructure

Recent activity within the organization

  • Charges

    A charge with Reliance Asset Reconstruction Company Limited of Rs. 47.00 Cr registered on 21 Jul 2008 with Charge ID 10116632 was modified on 28 Jun 2014.

    28 Jun 2014

  • Charges

    A charge with Axis Bank Limited of Rs. 10.00 Cr registered on 22 Oct 2009 with Charge ID 10180410 was modified on 24 Aug 2013.

    24 Aug 2013

  • Charges

    A charge with Srei Equipment Finance Private Limited amounted to Rs. 0.20 Cr with Charge ID 10349750 was registered on 05 Apr 2012.

    05 Apr 2012

  • Annual General Meeting

    Ct Ramanathan Infrastructure Private Limited last Annual general meeting of members was held on 30 Sep 2011 as per latest MCA records.

    30 Sep 2011

  • Balance Sheet

    Ct Ramanathan Infrastructure Private Limited has filed its annual Financial statements for the year ended 31 Mar 2011 with Roc Chennai.

    31 Mar 2011

  • Charges

    A charge with Bank Of Baroda amounted to Rs. 20.00 Cr with Charge ID 10237288 was registered on 11 Aug 2010.

    11 Aug 2010

Frequently asked questions

  • Ct Ramanathan Infrastructure Private Limited was incorporated on 04 Feb 2008.

  • The authorized share capital of Ct Ramanathan Infrastructure Private Limited is ₹ 15.00 Cr and paid-up capital is ₹ 10.00 Cr.

  • Currently 3 directors are associated with Ct Ramanathan Infrastructure Private Limited.

    • Adaikalavan Shanthi
    • Ramanathan Adaikalavan
    • Swamynathan Murugan
  • As per Ministry of Corporate Affairs (Mca), the registered address of Ct Ramanathan Infrastructure Private Limited is Flat No.4 /3 Second Floor Sk Enclave, Old No. 47 New No. 4 Nowroji Road Chetpet, Chennai, Tamil Nadu, India, 600031.

  • The corporate identification number (CIN) of Ct Ramanathan Infrastructure Private Limited is U45200TN2008PTC066297 and the company number is 066297 as per Ministry of Corporate Affairs (MCA).

  • As per the financial statements for fiscal Year 0, The total open charges for Ct Ramanathan Infrastructure Private Limited amount to ₹ 77.55 Cr.

  • The most recent Balance Sheet for Ct Ramanathan Infrastructure Private Limited was filed with the ROC on 31 Mar 2011.