Tapadia Constructions Limited logo

Tapadia Constructions Limited

Constructs residential and commercial projects, including malls and apartments, since 1989 in Maharashtra.
1989 | Aurangabad, Maharashtra (India) | Active

Last Updated:

July 08, 2024
HomeCompanyTapadia Constructions Limited

Who are the key members and board of directors at Tapadia Constructions?

Board Members(4)

NameDesignationAppointment DateStatus
Ajay Jain In Director 12-Jul-2014Current
Shrigopal Soni In Director 30-Mar-1992Current
Jugalkishore Tapadia In Director 29-Sep-1989Current
Padma Tapadia In Director 29-Sep-1989Current

Financial Performance and Corporate Structure Insights of Tapadia Constructions.

Tapadia Constructions Limited, for the financial year ended 2021, experienced significant reduction in revenue, with a 42.21% decrease. The company also saw a substantial fall in profitability, with a 35.34% decrease in profit. The company's net worth Soared by an impressive increase of 827.83%.

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  • Key Matrics
  • Balance Sheet
  • Profit and Loss
  • Cash Flow
  • Ratios
Metric
(FY 2023)YOY Growth
(FY 2022)(FY 2021)(FY 2020)(FY 2019)
Total Revenue
-42.21%
Revenue from Operations
-45.96%
Total Assets
670.77%
Profit or Loss
-35.34%
Net Worth
827.83%
EBITDA
-54.83%

Related Corporates (Common Directorship)

Charges (Loans)

Open Charges Satisfied Charges

₹59.15 Cr

₹15.75 Cr

LenderAmountStatus

Axis Bank Limited

Creation Date: 13 Dec 2021
₹2.00 CrOpen

State Bank Of India

Creation Date: 11 Feb 2019
₹46.50 CrOpen

State Bank Of India

Creation Date: 26 Jun 2015
₹10.65 CrOpen

How Many Employees Work at Tapadia Constructions?

Unlock and access historical data on people associated with Tapadia Constructions, such as employment history, contributions to the Employees' Provident Fund Organization (EPFO), and related information.

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Latest Updates, News, and FAQs on Tapadia Constructions

Recent activity within the organization

  • Annual General Meeting

    Tapadia Constructions Limited last Annual general meeting of members was held on 06 May 2024 as per latest MCA records.

    06 May 2024

  • Balance Sheet

    Tapadia Constructions Limited has filed its annual Financial statements for the year ended 31 Mar 2024 with Roc Mumbai.

    31 Mar 2024

  • Charges

    A charge with State Bank Of India of Rs. 10.65 Cr registered on 26 Jun 2015 with Charge ID 10576143 was modified on 28 Mar 2022.

    28 Mar 2022

  • Charges

    A charge with Axis Bank Limited amounted to Rs. 2.00 Cr with Charge ID 100517814 was registered on 13 Dec 2021.

    13 Dec 2021

  • Charges

    A charge with State Bank Of India of Rs. 46.50 Cr registered on 11 Feb 2019 with Charge ID 100240567 was modified on 28 Oct 2021.

    28 Oct 2021

  • Charges

    A charge registered on 29 Mar 2007 via Charge ID 10048094 with Deogiri Nagari Sahakari Bank Limited was fully satisfied on 24 Jul 2019.

    24 Jul 2019

Frequently asked questions

  • Tapadia Constructions Limited was incorporated on 29 Sep 1989.

  • The authorized share capital of Tapadia Constructions Limited is ₹ 5.00 Cr and paid-up capital is ₹ 3.30 Cr.

  • Currently 4 directors are associated with Tapadia Constructions Limited.

    • Ajay Inderchand Jain
    • Shrigopal Madanlal Soni
    • Jugalkishore Chhaganlal Tapadia
    • Padma Jugalkishore Tapadia
  • As per Ministry of Corporate Affairs (Mca), the registered address of Tapadia Constructions Limited is Tapadia Terracesadalat Rd India, Aurangabad, Maharashtra.

  • The corporate identification number (CIN) of Tapadia Constructions Limited is U45200MH1989PLC053694 and the company number is 053694 as per Ministry of Corporate Affairs (MCA).

  • The Official website of Tapadia Constructions Limited is https://www.tapadiaconstructions.com

  • According to the financial reports for the fiscal year 2021, the revenue trend for Tapadia Constructions Limited has fallen by -42.21%.

  • The financial reports for the fiscal year 2021 indicates that The net worth of Tapadia Constructions Limited has experienced an upsurge of 827.83%.

  • As per the financial statements for fiscal Year 2021, The total open charges for Tapadia Constructions Limited amount to ₹ 59.15 Cr.

  • The most recent Balance Sheet for Tapadia Constructions Limited was filed with the ROC on 31 Mar 2024.

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