
Shree Prestress Concrete Products Private Limited
Manufactures and sells concrete products, including PCC poles and freight handling.
Manufactures and sells concrete products, including PCC poles and freight handling.
Shree Prestress Concrete Products Private Limited (SPCPPL) is a leading Private Limited Indian Non-Government Company incorporated in India on 03 November 1988 and has a history of 36 years and six months. Its registered office is in Kanpur Dehat, Uttar Pradesh, India.
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 2024. It's a company limited by shares with an authorized capital of Rs 1.00 M and a paid-up capital of Rs 0.98 M.
The company currently has active open charges totaling ₹2.75 Cr. The company has closed loans amounting to ₹2.58 Cr, as per Ministry of Corporate Affairs (MCA) records.
Vinod Ranasaria and Madhu Ranasaria serve as directors at the Company.
Kanpur Dehat, Uttar Pradesh, India
+91-XXXXXXXXXX
U26991UP1988PTC010175
010175
Private Limited Indian Non-Government Company
03 Nov 1988
30 Sep 2024
31 Mar 2024
Unlisted
Roc Kanpur
Name | Designation | Appointment Date | Status |
---|---|---|---|
Vinod Ranasaria ![]() | Director | 03-Nov-1988 | Current |
Madhu Ranasaria ![]() | Director | 30-Dec-2014 | Current |
Shree Prestress Concrete Products Private Limited, for the financial year ended 2022, experienced significant growth in revenue, with a 95.72% increase. The company also saw a substantial improvement in profitability, with a 107.25% increase in profit. The company's net worth moved up by a moderate rise of 0.76%.
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Unlock access to Shree Prestress Concrete Products's control and ownership data, Corporate Shareholding Patterns, Funding (security allotment) details, Foreign Institutional Investor information, Directors and Key Management Personnel (KMP) Remuneration, Group Structure, Overseas Direct Investment and other pertinent data.
Vinod Ranasaria and Madhu Ranasaria are mutual person
₹27.45 M
₹25.77 M
Date | Lender | Amount | Status |
---|---|---|---|
25 Oct 2024 | Hdfc Bank Limited | ₹1.15 M | Open |
12 May 2000 | State Bank Of India | ₹2.63 Cr | Open |
07 Jul 2000 | State Bank Of India | ₹6.00 M | Satisfied |
15 May 2000 | State Bank Of India | ₹6.00 M | Satisfied |
10 May 2000 | State Bank Of India | ₹0.60 M | Satisfied |
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A charge with Hdfc Bank Limited amounted to Rs. 1.15 M with Charge ID 101014596 was registered on 25 Oct 2024.
Shree Prestress Concrete Products Private Limited last Annual general meeting of members was held on 30 Sep 2024 as per latest MCA records.
Shree Prestress Concrete Products Private Limited has filed its annual Financial statements for the year ended 31 Mar 2024 with Roc Kanpur.
A charge with State Bank Of India of Rs. 26.30 M registered on 12 May 2000 with Charge ID 90277150 was modified on 09 Nov 2021.
A charge registered on 12 Sep 1989 via Charge ID 90268474 with Uttar Pradesh Financial Corporationg was fully satisfied on 21 Aug 2020.
A charge registered on 07 Jul 2000 via Charge ID 90273202 with State Bank Of India was fully satisfied on 16 Aug 2019.
Shree Prestress Concrete Products Private Limited was incorporated on 03 Nov 1988.
The authorized share capital of Shree Prestress Concrete Products Private Limited is ₹ 1.00 M and paid-up capital is ₹ 0.98 M.
Currently 2 directors are associated with Shree Prestress Concrete Products Private Limited.
As per Ministry of Corporate Affairs (Mca), the registered address of Shree Prestress Concrete Products Private Limited is 78/47, Latouche Road India, Kanpur, Uttar Pradesh, 208001.
The corporate identification number (CIN) of Shree Prestress Concrete Products Private Limited is U26991UP1988PTC010175 and the company number is 010175 as per Ministry of Corporate Affairs (MCA).
According to the financial reports for the fiscal year 2022, the revenue trend for Shree Prestress Concrete Products Private Limited has risen by 95.72%.
The financial reports for the fiscal year 2022 indicates that The net worth of Shree Prestress Concrete Products Private Limited has experienced an upsurge of 0.76%.
As per the financial statements for fiscal Year 2022, The total open charges for Shree Prestress Concrete Products Private Limited amount to ₹ 2.75 Cr.
The most recent Balance Sheet for Shree Prestress Concrete Products Private Limited was filed with the ROC on 31 Mar 2024.
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