Kamar Infrastructure Private Limited

Founded in 2012 and headquartered in Maharashtra, India.

2012 | Raigarh, Maharashtra (India) | Active
Last Updated: December 09, 2024

Kamar Infrastructure Profile

Key Indicators

  • Authorised Capital ₹ 25.00 Cr
  • Paid Up Capital ₹ 25.00 Cr
  • Company Age 12 Year, 11 Months
  • Last Filing with ROC 31 Mar 2023
  • Open Charges ₹ 137.74 Cr
  • Satisfied Charges ₹ 48.03 Cr
  • Revenue Growth 33.89%
  • Profit Growth 66.83%
  • Ebitda 22.90%
  • Net Worth 7.26%
  • Total Assets 17.47%

About Kamar Infrastructure

Kamar Infrastructure Private Limited (KIPL) is a leading Private Limited Indian Non-Government Company incorporated in India on 16 February 2012 and has a history of 12 years and 11 months. Its registered office is in Raigarh, Maharashtra, India.

The Company is engaged in the Machinery And Equipment 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 25.00 Cr and a paid-up capital of Rs 25.00 Cr.

The company currently has active open charges totaling ₹137.74 Cr. The company has closed loans amounting to ₹48.03 Cr, as per Ministry of Corporate Affairs (MCA) records.

The Key Managerial Personnel (KMP) at Kamar Infrastructure Private Limited India is Akshay Jain as COMPANY SECRETARY.

Company Details

  • Location

    Raigarh, Maharashtra, India

  • Telephone

    +91-XXXXXXXXXX

  • Email Address
  • Social Media

Corporate Identity Details

  • CIN/LLPIN

    U45400MH2012PTC227016

  • Company No.

    227016

  • Company Classification

    Private Limited Indian Non-Government Company

  • Incorporation Date

    16 Feb 2012

  • Date of AGM

    30 Sep 2023

  • Date of Balance Sheet

    31 Mar 2023

  • Listing Status

    Unlisted

  • ROC Code

    Roc Mumbai

Industry

Machinery and Equipment

What products or services does Kamar Infrastructure Private Limited offer?

Kamar Infrastructure Private Limited offers a wide range of products and services, including Drilling & Boring Equipment, Drill Rods, Earth Auger, Rock Auger, Soil Augers, Pipe Couplings, Pipe Joints, Drilling Rig Tools, Drilling Bucket, Building Equipment & Accessories.

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

Executive Team (1)

Name Designation Appointment Date Status
Akshay Jain Company Secretary 04-May-2024 Current

Board Members (4)

Name Designation Appointment Date Status
Umerbhai Multani Country flag representing In Director 16-Feb-2012 Current
Mushtaq Multani Country flag representing In Director 16-Feb-2012 Current
Hanif Multani Country flag representing In Director 16-Feb-2012 Current
Aslam Multani Country flag representing In Director 16-Feb-2012 Current

Financial Performance of Kamar Infrastructure.

Kamar Infrastructure Private Limited, for the financial year ended 2022, experienced significant growth in revenue, with a 33.89% increase. The company also saw a substantial improvement in profitability, with a 66.83% increase in profit. The company's net worth moved up by a moderate rise of 7.26%.

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
33.89%
Revenue from Operations
34.58%
Total Assets
17.47%
Profit or Loss
66.83%
Net Worth
7.26%
EBITDA
22.90%

What is the Ownership and Shareholding Structure of Kamar Infrastructure?

In 2022, Kamar Infrastructure had a promoter holding of 100.00%. Access key insights, ownership, including shareholding patterns, funding, foreign investors, KMP remuneration, group structure, and overseas investments.

Shareholding Indicator graph

Charges (Loans)

Open Charges

₹137.74 Cr

Satisfied Charges

₹48.03 Cr

Charges Breakdown by Lending Institutions

  • Others : 120.36 Cr
  • Srei Equipment Finance Limited : 10.78 Cr
  • Hdfc Bank Limited : 2.00 Cr
  • Indiabulls Financial Services Limited : 2.00 Cr
  • Hdb Financial Services Limited : 1.56 Cr
  • Others : 1.05 Cr

Latest Charge Details

Date Lender Amount Status
15 Mar 2024 Others ₹5.88 M Open
16 Feb 2024 Others ₹1.83 Cr Open
02 Feb 2024 Others ₹9.02 M Open
27 Nov 2023 Others ₹1.08 Cr Open
30 Oct 2023 Others ₹1.27 Cr Open

How Many Employees Work at Kamar Infrastructure?

Kamar Infrastructure has a workforce of 45 employees as of Mar 23, 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.

Graph showing employee growth trends

Deals i

Graph showing company valuation over time

Gain comprehensive insights into the Deals and Valuation data of Kamar 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 Kamar Infrastructure's trajectory.

Rating

Graph displaying rating trends over time

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

Alert Indicator

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.

Latest Updates, News, and FAQs on Kamar Infrastructure

Recent activity within the organization

  • Charges

    A charge with Others of Rs. 34.83 Cr registered on 04 Apr 2023 with Charge ID 100706439 was modified on 11 Jul 2024.

    11 Jul 2024

  • Director Appointment

    Akshay Kumar Jain was appointed as a Company Secretary was appointed as a Company Secretary on 04 May 2024 & has been associated with this company since 9 months 1 day .

    04 May 2024

  • Charges

    A charge with Others amounted to Rs. 0.59 Cr with Charge ID 100894415 was registered on 15 Mar 2024.

    15 Mar 2024

  • Charges

    A charge with Others amounted to Rs. 1.83 Cr with Charge ID 100886236 was registered on 16 Feb 2024.

    16 Feb 2024

  • Charges

    A charge with Others amounted to Rs. 0.90 Cr with Charge ID 100886474 was registered on 02 Feb 2024.

    02 Feb 2024

  • Charges

    A charge with Others amounted to Rs. 1.08 Cr with Charge ID 100839405 was registered on 27 Nov 2023.

    27 Nov 2023

Frequently asked questions

  • Kamar Infrastructure Private Limited was incorporated on 16 Feb 2012.

  • The authorized share capital of Kamar Infrastructure Private Limited is ₹ 25.00 Cr and paid-up capital is ₹ 25.00 Cr.

  • Currently 5 directors are associated with Kamar Infrastructure Private Limited.

    • Umerbhai Mohmedbhai Multani
    • Mushtaq Umerbhai Multani
    • Akshay Kumar Jain
    • Hanif Umarbhai Multani
    • Aslam Umarbhai Multani
  • As per Ministry of Corporate Affairs (Mca), the registered address of Kamar Infrastructure Private Limited is Kamar Estate Devicha Pada M.I.D.C. Behind Deepak Nitrite Limited Taloja, Panvel India, Navi Mumbai, Maharashtra, 410208.

  • The corporate identification number (CIN) of Kamar Infrastructure Private Limited is U45400MH2012PTC227016 and the company number is 227016 as per Ministry of Corporate Affairs (MCA).

  • The Official website of Kamar Infrastructure Private Limited is https://www.kamarcouplers.com

  • According to the financial reports for the fiscal year 2022, the revenue trend for Kamar Infrastructure Private Limited has risen by 33.89%.

  • As Per 2022 financial reports, 45 employees are currently employed by Kamar Infrastructure Private Limited.

  • The financial reports for the fiscal year 2022 indicates that The net worth of Kamar Infrastructure Private Limited has experienced an upsurge of 7.26%.

  • As per the financial statements for fiscal Year 2022, The total open charges for Kamar Infrastructure Private Limited amount to ₹ 137.74 Cr.

  • The most recent Balance Sheet for Kamar Infrastructure Private Limited was filed with the ROC on 31 Mar 2023.