Hanuman Concrete Products Profile
Key Indicators
- Authorised Capital ₹ 5.00 M
as on 24-10-2024
- Paid Up Capital ₹ 3.24 M
as on 24-10-2024
- Company Age 22 Year, 10 Months
- Last Filing with ROC 31 Mar 2023
- Open Charges ₹ 3.83 Cr
as on 24-10-2024
- Satisfied Charges ₹ 2.00 Cr
as on 24-10-2024
- Revenue -22.44%
(FY 2023)
- Profit -7333.33%
(FY 2023)
- Ebitda -17.37%
(FY 2023)
- Net Worth -4.88%
(FY 2023)
- Total Assets 6.79%
(FY 2023)
About Hanuman Concrete Products
The Company is engaged in the Manufacturing Industry.
The Company's status is Active, and it has filed its Annual Returns and Financial Statements up until 31 March 2023. It's a company limited by shares with an authorized capital of Rs 5.00 M and a paid-up capital of Rs 3.24 M.
The company currently has active open charges totaling ₹3.83 Cr. The company has closed loans amounting to ₹2.00 Cr, as per Ministry of Corporate Affairs (MCA) records.
Vinod Ranasaria and Madhu Ranasaria serve as directors at the Company.
- CIN/LLPIN
U26959UP2002PTC026452
- Company No.
026452
- Company Classification
Private Limited Indian Non-Government Company
- Incorporation Date
23 Jan 2002
- Date of AGM
30 Sep 2023
- Date of Balance Sheet
31 Mar 2023
- Listing Status
Unlisted
- ROC Code
Roc Kanpur
Industry
Company Details
- Location
Kanpur Dehat, Uttar Pradesh, India
- Telephone
- Email Address
- Website
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- Social Media-
Who are the key members and board of directors at Hanuman Concrete Products?
Board Members(2)
Name | Designation | Appointment Date | Status |
---|---|---|---|
Vinod Ranasaria | Director | 04-Apr-2019 | Current |
Madhu Ranasaria | Director | 17-Jun-1998 | Current |
Financial Performance and Corporate Structure Insights of Hanuman Concrete Products.
Hanuman Concrete Products Private Limited, for the financial year ended 2023, experienced significant reduction in revenue, with a 22.44% decrease. The company also saw a substantial fall in profitability, with a 7333.33% decrease in profit. The company's net worth dipped by a decrease of 4.88%.
- Key Matrics
- Balance Sheet
- Profit and Loss
- Cash Flow
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What is the Ownership and Shareholding Structure of Hanuman Concrete Products?
In 2023, Hanuman Concrete Products had a promoter holding of 24.85% and a public holding of 75.15%. Access key insights, ownership, including shareholding patterns, funding, foreign investors, KMP remuneration, group structure, and overseas investments.
Related Corporates (Common Directorship)
- Shree Prestress Concrete Products Private LimitedActive 36 years 1 month
Vinod Ranasaria and Madhu Ranasaria are mutual person
Charges (Loans)
Lender | Amount | Status |
---|---|---|
Hdfc Bank Limited Creation Date: 17 May 2022 | ₹0.96 M | Open |
Others Creation Date: 05 Nov 2021 | ₹1.60 M | Open |
Others Creation Date: 02 Jun 2020 | ₹3.20 M | Open |
How Many Employees Work at Hanuman Concrete Products?
Unlock and access historical data on people associated with Hanuman Concrete Products, such as employment history, contributions to the Employees' Provident Fund Organization (EPFO), and related information.
Deals i
Gain comprehensive insights into the Deals and Valuation data of Hanuman Concrete Products, 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 Hanuman Concrete Products's trajectory.
Rating
Access the credit rating data, providing valuable insights into the company's creditworthiness and financial stability. Explore assessments from leading credit rating agencies, evaluating factors such as debt obligations, liquidity, profitability, and overall financial health.
Alerts
Stay informed about regulatory alerts and litigation involving and associated companies. Receive timely updates on legal proceedings, regulatory changes, and compliance issues that may impact the company's operations, reputation, and financial performance. Monitor litigation involving subsidiaries, joint ventures, and other affiliated entities to assess potential risks and liabilities.